7Baggers

Eldorado Gold Corporation
(NYSE:EGO) 

EGO stock logo

Eldorado Gold Corporation and its subsidiaries engage in the exploration, discovery, acquisition, financing, development, production, sale, and reclamation of mineral products, primarily in Turkey, Canada, Greece, Brazil, and Romania. The company primarily produces gold, as well as silver, lead, zin...

Founded: 1992
Full Time Employees: 4,300
Sector: Basic Materials
Industry: Gold

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    Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-08-06 2021-06-30 2021-05-07 2021-03-31 2020-12-31 2020-11-03 2020-09-30 2020-08-06 2020-06-30 2020-05-01 2020-03-31 2019-12-31 2019-11-04 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-10-26 2018-07-27 2018-06-30 2018-04-27 2018-03-22 2017-12-31 2017-10-27 2017-09-30 2017-07-27 2017-06-30 2017-04-27 2017-03-31 2017-02-24 2016-12-31 2016-10-27 2016-09-30 2016-07-29 2016-06-30 2016-05-12 2016-03-31 2016-03-23 2015-10-30 2015-09-30 2015-07-30 2015-06-30 2015-04-30 2015-03-31 2015-02-19 2014-12-31 2014-10-31 2014-10-30 2014-09-30 2014-07-31 2014-06-30 2014-05-01 2014-03-31 2014-02-21 2013-09-30 2013-05-03 2013-03-31 2013-02-22 2012-10-29 2012-07-27 2012-06-30 2012-05-07 2012-05-03 2012-02-24 2011-12-31 2011-11-03 2011-09-30 2011-07-28 2011-06-30 2011-05-05 2011-03-31 2010-12-31 2010-10-28 2010-09-30 2010-07-29 2010-06-30 2010-05-07 2010-03-31 2010-03-18 2009-12-31 2009-10-29 2009-07-30 2009-05-07 2009-03-20 2009-02-23 2009-02-19 2008-10-30 2008-08-01 2008-05-01 2008-03-27 2007-11-02 2007-11-01 2007-08-03 2007-05-04 2007-03-23 2006-11-07 2006-11-06 2006-08-03 2006-08-02 2006-05-05 2006-05-04 2006-03-28 2006-03-23 2005-08-04 2004-10-27 2004-07-27 2004-07-26 2004-05-14 2004-05-13 2004-03-09 2003-10-31 2003-07-24 2003-03-06 
                                                                                                                                      
      revenue
                                                                                  52,818,000                                                    
      yoy
                                                                                                                                      
      qoq
                                                                                                                                      
      metal sales
    434,727,000 451,724,000 355,245,000 1,322,581,000 331,758,000 297,141,000 257,967,000 1,008,501,000 245,255,000 229,855,000 229,354,000 871,984,000 217,698,000 213,447,000 194,672,000 940,914,000 238,441,000 233,224,000 233,224,000 224,619,000 224,619,000 1,026,685,000 287,595,000 287,595,000 255,917,000 255,917,000 204,655,000 204,655,000 617,823,000 172,256,000 172,256,000 173,678,000 80,024,000 459,016,000 81,070,000 153,171,000 153,171,000 131,905,000 391,406,000 391,406,000 95,349,000 95,349,000 82,736,000 82,736,000 111,880,000 111,880,000 432,727,000 863,292,000 116,231,000 116,231,000 107,063,000 107,063,000 164,132,000 164,132,000 863,292,000 211,516,000 211,516,000 214,185,000 214,185,000 238,311,000 238,311,000 1,067,899,000 1,067,899,000 263,510,000 263,510,000 263,510,000 265,497,000 265,497,000 279,870,000 279,870,000 1,123,992,000 287,254,000 338,068,000 338,068,000 1,147,541,000 281,839,000 244,191,000 244,191,000  271,549,000 1,098,933,000 1,098,933,000 326,087,000 326,087,000 218,073,000 251,410,000 218,073,000 218,073,000                                           
      cost of sales
                                                                                  -35,530,000                                                    
      production costs
    164,140,000 162,158,000 148,311,000 564,158,000 141,225,000 127,809,000 123,006,000 478,947,000 115,929,000 116,996,000 109,932,000 459,586,000 123,486,000 109,320,000 104,556,000 449,748,000 110,180,000 112,800,000 112,800,000 108,560,000 108,560,000 445,183,000 117,386,000 117,386,000 109,477,000 109,477,000 101,362,000 101,362,000 334,839,000 84,813,000 84,813,000 100,896,000 51,921,000 267,980,000 56,066,000 85,844,000 85,844,000 67,235,000 192,740,000 192,740,000 45,844,000 45,844,000 39,433,000 39,433,000 50,688,000 50,688,000 194,669,000 469,818,000 50,498,000 50,498,000 48,927,000 48,927,000 92,948,000 92,948,000 469,818,000 117,769,000 117,769,000 115,548,000 115,548,000 119,305,000 119,305,000 508,280,000 508,280,000 123,503,000 123,503,000 123,503,000 122,524,000 122,524,000 134,785,000 134,785,000 481,892,000 120,753,000 130,368,000 130,368,000 427,946,000 107,615,000 94,486,000 94,486,000  91,239,000 346,484,000 346,484,000 95,020,000 95,020,000 74,311,000 81,431,000 74,311,000 74,311,000                                           
      depreciation and amortization
    62,829,000 65,963,000 60,169,000 251,450,000 64,056,000 59,438,000 54,479,000 261,087,000 62,983,000 64,086,000 61,669,000 240,185,000 61,294,000 52,917,000 50,635,000 200,958,000 50,720,000 51,034,000 51,034,000 56,309,000 56,309,000 246,651,000 65,538,000 65,538,000 58,328,000 58,328,000 52,363,000 52,363,000 153,118,000 40,017,000 40,017,000 41,188,000 20,161,000 105,732,000 19,828,000 34,482,000 34,482,000 29,188,000 72,130,000 72,130,000 18,634,000 18,634,000 15,556,000 15,556,000 18,064,000 18,064,000 74,887,000 178,978,000 16,908,000 16,908,000 17,551,000 17,551,000 31,659,000 31,659,000 178,978,000 44,167,000 44,167,000 40,866,000 40,866,000 45,409,000 45,409,000 177,227,000 177,227,000 39,341,000 39,341,000 39,341,000 44,095,000 44,095,000 45,572,000 45,572,000 149,068,000 40,461,000 37,114,000 37,114,000 113,529,000 26,082,000 25,145,000 25,145,000  27,408,000 122,414,000 122,414,000 29,954,000 29,954,000 31,217,000 29,843,000 31,217,000 31,217,000                                           
      earnings from mine operations
    207,758,000 223,603,000 146,765,000 506,973,000 126,477,000 109,894,000 80,482,000 268,467,000 66,343,000 48,773,000 57,753,000 172,213,000 32,918,000 51,210,000 39,481,000 290,208,000 77,541,000 69,390,000 69,390,000 59,750,000 59,750,000 334,851,000 104,671,000 104,671,000 88,112,000 88,112,000 50,930,000 50,930,000 129,866,000 47,426,000 47,426,000 31,594,000 7,942,000 83,839,000 4,747,000                                                                                                
      exploration and evaluation expenses
    10,975,000 7,253,000 6,990,000 23,788,000 8,310,000 3,386,000 4,433,000 22,422,000 6,288,000 4,634,000 5,836,000 19,635,000 5,001,000 4,242,000 5,861,000 18,314,000 4,663,000 7,828,000 7,828,000 4,061,000 4,061,000 12,693,000 4,080,000 4,080,000 2,333,000 2,333,000 3,227,000 3,227,000 14,643,000    5,365,000 33,842,000 8,014,000                                                                                                
      mine standby costs
    6,465,000 4,656,000 4,131,000 11,269,000 3,198,000 1,937,000 2,686,000 16,106,000 3,382,000 5,113,000 3,504,000 34,367,000 7,982,000 10,662,000 11,708,000 15,433,000 9,139,000 2,094,000 2,094,000 1,627,000 1,627,000 15,675,000 3,042,000 3,042,000 5,029,000 5,029,000 4,030,000 4,030,000 17,334,000 2,529,000 2,529,000 3,450,000 7,993,000 16,510,000 4,460,000 4,304,000 4,304,000 2,706,000 4,886,000 4,886,000 1,263,000 1,263,000 1,301,000 1,301,000 1,031,000 1,031,000 16,140,000 10,244,000 -415,000 -415,000 5,819,000 5,819,000 9,558,000 9,558,000 10,244,000 7,027,000 7,027,000 913,000 913,000 499,000 499,000                            1,335,000 22,000 22,000 607,000 607,000 706,000 706,000 2,580,000 2,580,000 881 936,000  2,432,000     2,433,000                         
      general and administrative expenses
    8,784,000 9,521,000 7,066,000 36,240,000 7,281,000 10,265,000 9,494,000 39,788,000 9,291,000 9,365,000 10,600,000 37,015,000 6,771,000 8,734,000 8,291,000 36,657,000 7,676,000 9,779,000 9,779,000 10,145,000 10,145,000 28,561,000 6,634,000 6,634,000 6,157,000 6,157,000 8,287,000 8,287,000 29,180,000    6,953,000 46,806,000 10,896,000 14,006,000 14,006,000 8,225,000 54,574,000 54,574,000 12,785,000 12,785,000 11,498,000 11,498,000 11,614,000 11,614,000 37,851,000 56,191,000 9,282,000 9,282,000 10,688,000 10,688,000 11,571,000 11,571,000 56,191,000 11,908,000 11,908,000 13,197,000 13,197,000 16,278,000 16,278,000 68,196,000 68,196,000 17,430,000 17,430,000 17,430,000 19,099,000 19,099,000 15,844,000 15,844,000 68,291,000 14,671,000 16,486,000 16,486,000 70,135,000 17,518,000 19,665,000 19,665,000  16,162,000 59,239,000 59,239,000 11,207,000 11,207,000 21,034,000 13,574,000 21,034,000 21,034,000                                           
      employee benefit plan expense
    719,000 1,087,000 1,014,000 3,584,000 1,115,000 864,000 1,174,000 4,228,000 1,277,000 706,000 1,513,000 5,982,000 854,000 809,000 1,841,000 2,317,000 839,000 616,000 616,000 749,000 749,000 2,849,000 496,000 496,000 766,000 766,000 691,000 691,000 2,717,000                                                                                                      
      share-based payments expense
    6,802,000 4,183,000 4,362,000 11,872,000 4,083,000 3,676,000 2,049,000 10,195,000 2,045,000 2,676,000 852,000 10,744,000 2,842,000 348,000 3,650,000 7,945,000 1,716,000 1,922,000 1,922,000 1,781,000 1,781,000 10,692,000 2,586,000 2,586,000 2,863,000 2,863,000 1,795,000 1,795,000 10,396,000                                                                                                      
      write-down of assets
    3,261,000 2,476,000 2,689,000 6,135,000 2,000 688,000 722,000 9,719,000 2,924,000  162,000 32,499,000    9,106,000      38,660,000     203,000 203,000 6,298,000   410,000 17,000   4,483,000 4,483,000 4,024,000 46,697,000 46,697,000 31,109,000 31,109,000 2,177,000 2,177,000                                                                                       
      foreign exchange loss
    32,000                        -1,238,000       480,000  3,574,000    1,142,000 -2,382,000     -749,000   2,708,000 16,794,000 1,450,000    -3,169,000  16,794,000 4,765,000 4,765,000     7,176,000 7,176,000  4,468,000 4,468,000  -1,553,000       -2,780,000 -1,926,000     5,367,000 5,367,000 3,530,000 3,530,000         -1,353,000    -2,966,000    176,000  -1,277,000 2,286,000  854,000 -4,658,000 -1,691,000  -2,089,000 -565,000 -2,050,000   -2,481,000 -2,481,000 1,567,000 1,567,000 -196,000 -196,000 1,715,000  1,715,000 1,715,000 236,000  -6,494,000 484,000 -78,000  
      earnings from operations
    170,720,000 175,903,000 114,229,000 419,393,000 99,961,000 90,454,000 60,096,000 182,009,000 42,862,000 39,074,000 34,359,000 41,679,000 -21,377,000 34,518,000 -378,717,000 212,931,000 54,075,000 -52,336,000 -52,336,000 48,080,000 48,080,000 228,715,000 92,149,000 92,149,000 72,497,000 72,497,000 33,459,000 33,459,000 146,837,000 31,278,000 31,278,000 25,323,000   -135,476,000                                                                                                
      other income
    -52,406,000 -3,012,000 -59,727,000 39,050,000 32,773,000 -5,286,000 -8,934,000 14,195,000 11,366,000 10,580,000 8,508,000 11,802,000 3,600,000 1,678,000 1,743,000 9,944,000 1,732,000 9,636,000 9,636,000 678,000 678,000 -1,277,000 4,740,000 4,740,000 1,356,000 1,356,000 -1,320,000  11,885,000 871,000 871,000 8,655,000 1,695,000 16,151,000 3,957,000 2,175,000 2,175,000 3,097,000 17,575,000 17,575,000 5,227,000 5,227,000 -2,211,000  -2,349,000 -2,349,000 -243,000 -5,661,000 -1,018,000 -1,018,000 -1,372,000 -1,372,000  1,669,000 -5,661,000 -1,402,000 -1,402,000 -2,306,000 -2,306,000 -1,858,000 -1,858,000 -9,436,000 -9,436,000 -4,206,000 -4,206,000 -4,206,000 -3,631,000 -3,631,000 784,000  -6,201,000 -2,460,000 -1,976,000 -1,976,000 -6,870,000 -264,000 -1,431,000 -1,431,000   -7,673,000 -7,673,000                                                 
      finance costs
    -8,221,000 -669,000  -23,049,000 -3,476,000 -7,085,000  -32,839,000 -8,910,000 -9,350,000 -8,793,000 -41,625,000 -9,293,000 -23,743,000 -2,166,000 -71,809,000 -41,019,000 -15,500,000 -15,500,000 -10,338,000 -10,338,000 -50,943,000 -19,894,000 -19,894,000 -6,480,000  -16,207,000   -13,170,000                                                                                                     
      earnings from continuing operations before income tax
    110,093,000 172,222,000 42,258,000 435,394,000 129,258,000 78,083,000 51,194,000 163,365,000 45,318,000 40,304,000 34,074,000 11,856,000 -27,070,000 12,453,000 -379,140,000 151,066,000 14,788,000      76,995,000 76,995,000           -130,031,000                                                                                                
      income tax expense
    53,917,000 33,295,000  134,758,000 28,223,000 21,711,000 16,052,000 57,575,000 51,984,000 38,866,000 12,731,000 61,224,000 27,427,000 33,980,000 5,074,000 139,970,000 5,627,000 146,000 146,000 28,249,000 28,249,000 79,134,000 38,691,000 38,691,000 23,671,000 23,671,000 21,405,000 21,405,000 39,771,000 15,888,000 15,888,000 8,010,000 6,032,000  661,000 21,579,000 21,579,000 7,084,000 19,383,000 19,383,000 7,090,000 7,090,000 -2,693,000 -2,693,000 10,776,000 10,776,000 56,205,000 -184,368,000 12,653,000 12,653,000 5,720,000 5,720,000 5,333,000 5,333,000 -184,368,000 102,684,000 102,684,000 -22,582,000 -22,582,000 32,989,000 32,989,000 121,269,000 121,269,000 38,900,000 38,900,000 38,900,000 24,999,000 24,999,000 32,444,000 32,444,000 144,362,000 38,152,000 171,252,000 171,252,000 128,276,000 34,435,000 36,805,000 36,805,000 -1,860,000 27,725,000 165,587,000 165,587,000 63,077,000 63,077,000 20,625,000 36,818,000 20,625,000 20,625,000                                           
      net earnings from continuing operations
    56,176,000 138,927,000 74,866,000 300,636,000 101,035,000 56,372,000 35,142,000 105,790,000 -6,666,000 1,438,000 21,343,000 -49,368,000 -54,497,000 -21,527,000 -384,214,000 11,096,000 9,161,000                                                                                                                  
      net income from discontinued operations, net of tax
    -1,122,000 -4,123,000 -1,333,000 -13,676,000 -9,770,000 -1,117,000 -1,381,000 -4,407,000 -1,201,000 -942,000 -1,124,000     -146,802,000                                                                                                                   
      net earnings for the period
    55,054,000 134,804,000 73,533,000  91,265,000 55,255,000 33,761,000  -7,867,000 496,000 20,219,000    -384,214,000  -51,600,000 -58,346,000 -58,346,000 10,171,000 10,171,000  38,304,000 38,304,000 43,702,000 43,702,000    3,091,000 3,091,000 9,182,000 -27,372,000  -130,692,000                                                                         5,213,000 5,213,000 26,731,000 12,582,000                    
      net earnings attributable to:
                                                                                                                                      
      shareholders of the company
    56,027,000 138,009,000 72,402,000 289,121,000 94,971,000 55,480,000 33,605,000 104,630,000 -7,998,000 885,000 21,322,000 -353,824,000 -50,486,000 -22,718,000 -316,822,000 -136,020,000 -52,220,000 -55,737,000 -55,737,000 8,266,000 8,266,000 104,541,000 41,009,000 41,009,000 45,618,000 45,618,000 -4,880,000  80,586,000 4,233,000 4,233,000 12,151,000  -361,884,000 -128,045,000 -24,391,000 -24,391,000 8,718,000 -9,935,000 -9,935,000 -4,179,000 -4,179,000 11,215,000 11,215,000 3,834,000 3,834,000 -344,151,000 -1,540,895,000 20,740,000 20,740,000 -329,864,000 -329,864,000 -2,478,000 -2,478,000 -1,540,895,000 -96,091,000 -96,091,000 -198,600,000 -198,600,000 -8,244,000 -8,244,000 102,607,000 102,607,000 19,791,000 19,791,000 19,791,000 37,632,000 37,632,000 31,268,000 31,268,000 -653,329,000 36,410,000 -45,463,000 -45,463,000 305,302,000 75,845,000 46,624,000 46,624,000  67,851,000 318,662,000 318,662,000 102,478,000 102,478,000 52,473,000 74,865,000 52,473,000 52,473,000                                           
      non-controlling interests
    -973,000 -3,205,000 1,131,000 -2,161,000 -3,706,000 -225,000 156,000 -3,247,000 131,000 -389,000 -1,103,000 -73,029,000 -4,011,000 1,191,000 -67,392,000 314,000 620,000 -2,609,000 -2,609,000 1,905,000 1,905,000 -7,180,000 -2,705,000 -2,705,000 -1,916,000  -593,000   -1,142,000     -2,647,000 281,000 281,000 -3,069,000 -11,453,000 -11,453,000 -2,821,000 -2,821,000 -3,688,000 -3,688,000 -1,165,000 -1,165,000 -2,725,000 -104,247,000 1,207,000 1,207,000 -874,000 -874,000 -1,415,000 -1,415,000 -104,247,000 453,000 453,000 1,015,000 1,015,000 1,731,000 1,731,000 3,937,000 3,937,000 1,744,000 1,744,000 1,744,000 1,882,000 1,882,000 -625,000 -625,000 3,714,000 1,920,000 1,495,000 1,495,000 12,756,000 2,528,000 2,881,000 2,881,000  5,967,000 28,561,000 28,561,000 8,265,000 8,265,000 6,227,000 6,888,000 6,227,000 6,227,000        -2,627,000 -2,627,000                                  
      net earnings attributable to shareholders of the company:
                                                                                                                                      
      continuing operations
    56,540,000 138,999,000 71,983,000 300,909,000 101,113,000 56,384,000 35,194,000 106,183,000 -6,557,000 1,537,000 21,383,000  -50,486,000 -22,718,000 -316,822,000 10,782,000 8,541,000                  -128,045,000 -24,391,000 -24,391,000 8,718,000 -7,138,000 -7,138,000 -4,179,000 -4,179,000 11,012,000 11,012,000 6,834,000 6,834,000 -2,683,000  18,453,000 18,453,000 9,331,000 9,331,000                                                                               
      discontinued operations
    -513,000 -990,000 419,000 -11,788,000 -6,142,000 -904,000 -1,589,000 -1,553,000 -1,441,000 -652,000 -61,000     -146,802,000 -60,761,000                      -2,797,000 -2,797,000   203,000 203,000 -3,000,000 -3,000,000 -341,468,000  2,287,000 2,287,000 -339,195,000 -339,195,000                                                                               
      net earnings attributable to non-controlling interests:
                                                                                                                                      
      weighted-average number of shares outstanding:
                                                                                                                                      
      basic
    202,742,582,000 204,906,884,000 204,762,059,000 203,983,457,000 204,520,670,000 204,075,131,000 202,706,218,000 194,448,000 202,472,000 188,804,000 184,020,000 183,446,000 183,783,000 183,777,000 182,362,000 180,297,000 182,447,000 181,599,000 181,599,000 174,534,000 174,534,000 171,047,000 173,822,000 173,822,000 169,867,000 169,867,000 165,211,000 165,211,000 158,856,000 158,462,000 158,462,000 158,372,000 158,318,000 158,509,000 792,019,000 793,307,000 793,307,000 794,011,000 753,565,000 753,565,000 785,621,000 785,621,000 716,824,000 716,824,000 716,600,000 716,600,000 716,587,000 716,586,000 716,587,000 716,587,000 716,587,000 716,587,000 716,587,000 716,587,000 716,586,000 716,587,000 716,587,000 716,587,000 716,587,000 716,583,000 716,583,000 716,288,000 716,288,000 716,284,000 716,284,000 716,284,000 716,249,000 716,249,000 716,217,000 716,217,000 715,181,000 715,083,000 714,504,000 714,504,000 689,007,000 712,789,000 711,449,000 711,449,000  615,147,000 549,791,000 549,791,000 549,085,000 549,085,000 548,320,000 548,976,000 548,320,000 548,320,000 542,861,000 546,039,000 546,039,000 539,398,000 539,398,000 538,009,000 538,009,000 389,384,000 389,384,000 391,583 371,118,000 369,862,000 355,132,000  366,672,000   344,542,000 343,194,000                        
      diluted
    205,150,042,000 206,960,823,000 206,501,722,000 205,541,542,000 206,146,570,000 205,490,897,000 203,929,570,000 195,329,000 202,472,000 189,680,000 184,872,000 183,446,000 183,783,000 183,777,000 182,362,000 181,765,000 183,948,000 181,599,000 181,599,000 177,234,000 177,234,000 175,231,000 178,131,000 178,131,000 173,787,000 173,787,000 165,211,000 165,211,000 161,539,000 161,735,000 161,735,000 158,372,000 158,318,000 158,509,000 792,019,000 793,307,000 793,307,000 794,011,000 753,565,000 753,565,000 785,621,000 785,621,000 717,479,000 717,479,000 717,283,000 717,283,000 716,593,000 716,590,000 716,596,000 716,596,000 716,591,000 716,591,000 716,587,000 716,587,000 716,590,000 716,589,000 716,589,000 716,587,000 716,587,000 716,583,000 716,583,000 716,300,000 716,300,000 716,284,000 716,284,000 716,284,000 716,249,000 716,249,000 716,217,000 716,217,000 715,181,000 715,364,000 715,364,000 715,364,000 690,669,000 713,340,000 713,050,000 713,050,000  617,851,000 551,625,000 551,625,000 551,309,000 551,309,000 551,500,000 551,696,000 551,500,000 551,500,000 545,850,000 547,731,000 547,731,000 541,193,000 541,193,000 540,911,000 540,911,000 391,707,000 391,707,000 392,328 371,964,000 371,833,000 356,308,000  367,238,000   345,902,000 344,621,000                        
      net earnings per share attributable to shareholders of the company:
                                                                                                                                      
      basic earnings per share
    0.28 0.67 0.35 1.42 0.46 0.27 0.17 0.54 -0.04 0.01 0.12 -0.27 -0.27 -0.12 -1.74 -0.75 -0.29 -0.31 -0.31 0.05 0.05 0.61 0.24 0.24 0.27 0.27   0.51 0.03 0.03 0.08 -0.17  -0.16             -2.15 0.03 0.03 -0.46 -0.46   -2.15 -0.13 -0.13 -0.28 -0.28 -0.01 -0.01 0.14 0.14 0.03 0.03 0.03 0.05 0.05 0.04 0.04  0.05 -0.06 -0.06 0.44 0.11 0.07 0.07  0.11 0.58 0.58 0.19 0.19 0.1 0.14 0.1 0.1                                           
      diluted earnings per share
    0.27 0.67 0.35 1.41 0.46 0.27 0.16 0.54 -0.04 0.01 0.12 -0.27 -0.27 -0.12 -1.74 -0.75 -0.29 -0.31 -0.31 0.05 0.05 0.6 0.23 0.23 0.26 0.26   0.5 0.03 0.03 0.08 -0.17  -0.16             -2.15 0.03 0.03 -0.46 -0.46   -2.15 -0.13 -0.13 -0.28 -0.28 -0.01 -0.01 0.14 0.14 0.03 0.03 0.03 0.05 0.05 0.04 0.04  0.05 -0.06 -0.06 0.44 0.11 0.07 0.07  0.11 0.58 0.58 0.19 0.19 0.1 0.14 0.1 0.1                                           
      net earnings per share attributable to shareholders of the company - continuing operations:
                                                                                                                                      
      foreign exchange gain
     18,524,000 6,284,000 -5,308,000 2,527,000 -1,376,000  -16,000,000  -14,681,000 927,000 -9,708,000 458,000 -6,415,000 -2,720,000 -26,421,000 -605,000 -330,000 -330,000 -5,943,000 -5,943,000 -2,994,000 -4,345,000 -4,345,000   -762,000   643,000 643,000    -3,034,000 2,266,000 2,266,000   -2,382,000 -2,757,000 -2,757,000 -749,000  88,000 88,000    1,450,000 287,000 287,000  -3,169,000    -1,588,000 -1,588,000 10,239,000 10,239,000   4,468,000   -1,553,000  -1,361,000 -1,361,000 6,799,000 -939,000 -102,000 -102,000   806,000 806,000 708,000      647,000 1,381,000 647,000 647,000 14,792,000 13,360,000 13,360,000   -3,680,000 -3,680,000          -1,686,000                 484,000    236,000     
      finance (costs) recovery
      -12,244,000                                                                                                                                
      income tax (recovery) expense
      -32,608,000                                                                                                                                
      net earnings attributable to non-controlling interest:
                                                                                                                                      
      weighted-average number of shares outstanding
                                                                                                                    340,885,429 340,885,429     257,643,212,000 257,643,212,000       221,770,349,000    
      basic
    202,742,582,000 204,906,884,000 204,762,059,000 203,983,457,000 204,520,670,000 204,075,131,000 202,706,218,000 194,448,000 202,472,000 188,804,000 184,020,000 183,446,000 183,783,000 183,777,000 182,362,000 180,297,000 182,447,000 181,599,000 181,599,000 174,534,000 174,534,000 171,047,000 173,822,000 173,822,000 169,867,000 169,867,000 165,211,000 165,211,000 158,856,000 158,462,000 158,462,000 158,372,000 158,318,000 158,509,000 792,019,000 793,307,000 793,307,000 794,011,000 753,565,000 753,565,000 785,621,000 785,621,000 716,824,000 716,824,000 716,600,000 716,600,000 716,587,000 716,586,000 716,587,000 716,587,000 716,587,000 716,587,000 716,587,000 716,587,000 716,586,000 716,587,000 716,587,000 716,587,000 716,587,000 716,583,000 716,583,000 716,288,000 716,288,000 716,284,000 716,284,000 716,284,000 716,249,000 716,249,000 716,217,000 716,217,000 715,181,000 715,083,000 714,504,000 714,504,000 689,007,000 712,789,000 711,449,000 711,449,000  615,147,000 549,791,000 549,791,000 549,085,000 549,085,000 548,320,000 548,976,000 548,320,000 548,320,000 542,861,000 546,039,000 546,039,000 539,398,000 539,398,000 538,009,000 538,009,000 389,384,000 389,384,000 391,583 371,118,000 369,862,000 355,132,000  366,672,000   344,542,000 343,194,000                        
      diluted
    205,150,042,000 206,960,823,000 206,501,722,000 205,541,542,000 206,146,570,000 205,490,897,000 203,929,570,000 195,329,000 202,472,000 189,680,000 184,872,000 183,446,000 183,783,000 183,777,000 182,362,000 181,765,000 183,948,000 181,599,000 181,599,000 177,234,000 177,234,000 175,231,000 178,131,000 178,131,000 173,787,000 173,787,000 165,211,000 165,211,000 161,539,000 161,735,000 161,735,000 158,372,000 158,318,000 158,509,000 792,019,000 793,307,000 793,307,000 794,011,000 753,565,000 753,565,000 785,621,000 785,621,000 717,479,000 717,479,000 717,283,000 717,283,000 716,593,000 716,590,000 716,596,000 716,596,000 716,591,000 716,591,000 716,587,000 716,587,000 716,590,000 716,589,000 716,589,000 716,587,000 716,587,000 716,583,000 716,583,000 716,300,000 716,300,000 716,284,000 716,284,000 716,284,000 716,249,000 716,249,000 716,217,000 716,217,000 715,181,000 715,364,000 715,364,000 715,364,000 690,669,000 713,340,000 713,050,000 713,050,000  617,851,000 551,625,000 551,625,000 551,309,000 551,309,000 551,500,000 551,696,000 551,500,000 551,500,000 545,850,000 547,731,000 547,731,000 541,193,000 541,193,000 540,911,000 540,911,000 391,707,000 391,707,000 392,328 371,964,000 371,833,000 356,308,000  367,238,000   345,902,000 344,621,000                        
      net earnings for the year
       286,960,000    101,383,000        -135,706,000      97,361,000       73,685,000                                                                                                      
      net income attributable to non-controlling interests:
                                                                                                                                      
      foreign exchange (gain) loss
          -172,000  -1,726,000                                                                                   -1,353,000    -2,966,000  -442 1,962,000 -3,089,000  398,796       -1,691,000                      
      finance recovery
          32,000                                                                                                                            
      net income attributable to non-controlling interest:
                                                                                                                                      
      write-down (recovery) of assets
             1,886,000   1,090,000  24,141,000  38,000 320,000 320,000 -750,000 -750,000                                                                                                              
      impairment of property, plant and equipment
                29,297,000   13,926,000  99,497,000 99,497,000                                                                                                                
      net loss from discontinued operations, net of tax
               -377,485,000                                                                                                                       
      net loss for the year
               -426,853,000                      -379,631,000                                                                                     -13,942,000 -13,942,000           
      earnings from continuing operations
               -49,176,000                       -130,692,000                                                                                                
      loss from discontinued operations
               -304,648,000                           -2,797,000        -339,369,000                                                                                    
      loss from continuing operations
               -192,000                           -18,591,000        -7,507,000                                                                                    
      earnings from discontinued operations
               -72,837,000                                                                                                                       
      net income per share
                                                                                                                                      
      basic loss per share
               -1.93 -0.27 -0.12             -0.03 -0.03      -2.28     -0.01 -0.01       -0.48                                                                                    
      diluted loss per share
               -1.93 -0.27 -0.12             -0.03 -0.03      -2.28     -0.01 -0.01       -0.48                                                                                    
      net income for the period
                -54,497,000               -5,473,000                                                              48,773,000 48,773,000 60,508,000 60,508,000 52,845,000 52,845,000   30,154 25,900,000 13,061,000   101,185,000 17,040,000 25,155,000 20,737,000       5,199,000 5,199,000 215,000 215,000      -1,631,000 -1,673,000 -1,673,000 -663,000 -663,000  -1,259,000 2,348,000  
      attributable to:
                                                                                                                                      
      earnings attributable to shareholders of the company
                                                                                                                                      
      cost of sales - sum
                 162,237,000                                                    170,421,000       167,482,000   133,697,000                                                       
      (recovery) write-down of assets
                 -1,688,000                                                                                                                     
      net loss for the period
                 -21,527,000             -5,473,000                                                                                          -7,456,000 -7,456,000   -1,673,000          
      earnings attributable to shareholders of the company - sum
                 -22,718,000                                                                                                                     
      impairment of property, plant, and equipment
                  365,426,000                   447,808,000                                                                                                 
      earnings attributable to shareholders of the company:
                                                                                                                                      
      net earnings per share attributable to shareholders of the company - continuing operations
                                                                                                                                      
      net earnings from discontinued operations, net of tax
                    -60,761,000                                                                                                                  
      earnings from operations before income tax
                     -58,200,000 -58,200,000      67,373,000 67,373,000 15,932,000 15,932,000 113,456,000 18,979,000 18,979,000 17,192,000                                                                                                   
      earnings before income tax
                       38,420,000 38,420,000 176,495,000                                                                                                             
      reversal of impairment
                                                                                                                                      
      write-down (reversal) of assets
                          29,000 29,000 -295,000                                                                                                          
      impairment
                                                                                                                                      
      exploration and evaluation expense
                                 2,774,000 2,774,000 2,529,000                                                                                                   
      general and administrative expense
                                 7,431,000 7,431,000 8,084,000                                                                                                   
      defined benefit pension plan expense
                                 458,000 458,000 510,000 599,000 3,555,000 201,000 1,047,000 1,047,000 1,083,000 3,451,000 3,451,000 813,000 813,000 782,000 782,000 831,000 831,000 5,602,000 1,670,000 292,000 292,000 297,000 297,000 283,000 283,000 1,670,000 406,000 406,000 434,000 434,000 426,000 426,000 1,620,000 1,620,000 407,000 407,000 407,000 413,000 413,000 403,000 403,000 2,478,000 616,000 629,000 629,000 1,900,000 638,000 626,000 626,000                                                     
      share based payments
                                 2,727,000 2,727,000 2,498,000 2,902,000 6,989,000 1,580,000 2,844,000 2,844,000 1,318,000 11,218,000 11,218,000 2,137,000 2,137,000 1,990,000 1,990,000 5,128,000 5,128,000 10,559,000 15,877,000 2,116,000 2,116,000 2,699,000 2,699,000 3,701,000 3,701,000 15,877,000 2,803,000 2,803,000 3,759,000 3,759,000 6,415,000 6,415,000 18,775,000 18,775,000 3,253,000 3,253,000 3,253,000 5,281,000 5,281,000 6,994,000 6,994,000 19,492,000 3,765,000 8,877,000 8,877,000 21,794,000 4,396,000 3,791,000 3,791,000  9,023,000 19,722,000 19,722,000 3,599,000 3,599,000 7,352,000 4,452,000 7,352,000 7,352,000                                           
      (write-up) write-down of assets
                                 -414,000                                                                                                     
      gain on disposal of assets
                                     130,000 1,000 42,000 42,000 86,000     -40,000        -93,000 -93,000            278,000   1,819,000     -120,000  36,000   659,000 659,000   -2,729,000 -2,729,000 420,000 420,000     -592,000   21,000  -1,506,000 -1,506,000 -854,000 -854,000  -1,463,000  -70,774,000  -72,441,000   -24,000   100,000  -3,477,000                    
      gain on derivatives and other investments
                                     665,000 2,326,000 1,406,000 1,406,000 788,000                                                                                             
      asset retirement obligation accretion
                                      -510,000 -509,000 -509,000 -510,000 -2,006,000 -2,006,000 -458,000 -458,000 523,000 523,000 523,000 523,000 1,795,000 2,411,000 449,000 449,000 449,000 449,000 564,000 564,000 2,411,000 610,000 610,000 595,000 595,000 603,000 603,000 2,326,000 2,326,000 582,000 582,000 582,000 581,000 581,000 582,000 582,000 1,337,000 278,000 339,000 339,000 1,842,000 457,000 503,000 503,000  368,000 1,546,000 1,546,000                                                 
      interest and financing costs
                                      -329,000   -3,564,000 -3,199,000 -3,199,000 -1,042,000 -1,042,000 -61,000 -61,000 1,110,000 1,110,000 9,757,000 18,328,000 758,000 758,000 4,082,000 4,082,000 5,711,000 5,711,000 18,328,000 3,385,000 3,385,000 4,833,000 4,833,000 5,175,000 5,175,000 28,779,000 28,779,000 6,832,000 6,832,000 6,832,000 7,916,000 7,916,000 8,405,000 8,405,000 40,412,000 9,748,000 10,501,000 10,501,000 6,983,000 1,481,000 1,446,000 1,446,000  688,000 5,331,000 5,331,000 2,293,000 2,293,000 1,589,000 1,525,000 1,589,000 1,589,000 8,089,000   1,656,000 1,656,000 2,613,000 2,613,000 824,000 824,000 77 77,000 81,000 2,940,000  314,000 756,000 842,000 1,028,000 3,415,000 807,000 807,000 1,120,000 775,000 1,586,000 736,000 736,000 23,000 23,000 38,000 38,000 25,000 25,000  189,000     569,000 189,000 321,000  
      inventory write-down
                                     1,465,000 429,000    444,000 444,000 487,000 487,000      12,024,000 -298,000 -298,000 -1,048,000 -1,048,000 1,346,000 1,346,000 12,024,000 1,595,000 1,595,000   6,210,000 6,210,000 13,469,000 13,469,000 7,577,000 7,577,000 7,577,000                                                                 
      other operating items
                                          3,658,000 3,658,000   1,525,000 1,525,000 2,133,000 2,133,000                                                                                     
      acquisition costs
                                          4,270,000 4,270,000 4,265,000 4,265,000                                 21,247,000                                                        
      other write-down of assets
                                     1,528,000 536,000          1,054,000 1,054,000 4,529,000  164,000 164,000 478,000 478,000                                                                               
      income from operations
                                                                                                                                      
      yoy
                                                                                                                                      
      qoq
                                                                                                                                      
      operating margin %
    NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% 0% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% 
      net loss attributable to shareholders of the company:
                                                                                                                                      
      impairment loss on property, plant, and equipment
                                      117,570,000                                                                                                
      net earnings attributable to shareholders of the company
                                                                                                                                      
      earnings per share attributable to shareholders
                                                                                                                                      
      of the company:
                                                                                                                                      
      of the company - continuing operations:
                                                                                                                                      
      gross profit
                                       32,845,000 32,845,000 35,482,000 126,092,000 126,092,000 30,384,000 30,384,000 27,747,000 27,747,000 43,128,000 43,128,000 163,171,000 202,472,000 49,123,000 49,123,000 41,633,000 41,633,000 38,179,000 38,179,000 202,472,000 47,985,000 47,985,000 57,771,000 57,771,000 67,387,000 67,387,000 368,923,000 368,923,000 93,089,000 93,089,000 93,089,000 98,878,000 98,878,000 99,513,000 99,513,000 493,032,000 126,040,000 170,586,000 170,586,000 606,066,000 148,142,000 124,560,000 124,560,000 11,203,000 152,902,000 630,035,000 630,035,000 201,113,000 201,113,000 112,545,000 140,136,000 112,545,000 112,545,000                                           
      yoy
                                       -73.95% 8.10% 16.78% 354.43% 354.43% -29.55% -29.55% -83.00% -86.30% -12.20% -12.20% 291.93% 386.33% 28.66% 28.66% -79.44% -13.24% -20.44% -33.91% 250.47% -28.79% -28.79% -84.34% -84.34% -27.61% -27.61% 296.31% 273.11% -5.85% -6.46% -6.46% -79.94% -21.55% -41.66% -41.66% -18.65% -14.92% 36.95% 36.95% 5309.85% -3.11% -80.23% -80.23% -94.43% -23.97% 459.81% 349.59% 78.70% 78.70%                                               
      qoq
                                       0.00% -7.43% -71.86% 0.00% 314.99% 0.00% 9.50% 0.00% -35.66% 0.00% -73.57% -19.41% 312.17% 0.00% 17.99% 0.00% 9.05% 0.00% -81.14% 321.95% 0.00% -16.94% 0.00% -14.27% 0.00% -81.73% 0.00% 296.31% 0.00% 0.00% -5.85% 0.00% -0.64% 0.00% -79.82% 291.17% -26.11% 0.00% -71.85% 309.11% 18.93% 0.00% 1011.85% -92.67% -75.73% 0.00% 213.27% 0.00% 78.70% -19.69% 24.52% 0.00%                                            
      gross margin %
    NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% 21.21% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% 
      exploration expenses
                                       6,849,000 6,849,000 4,148,000 38,261,000 38,261,000 11,651,000 11,651,000 7,124,000 7,124,000 5,247,000 5,247,000 18,773,000 17,853,000 4,969,000 4,969,000 3,314,000 3,314,000 2,243,000 2,243,000 17,853,000 4,522,000 4,522,000 3,186,000 3,186,000 3,123,000 3,123,000 16,230,000 16,230,000 3,488,000 3,488,000 3,488,000 3,890,000 3,890,000 3,895,000 3,895,000 34,686,000 9,866,000 7,624,000 7,624,000 39,521,000 11,130,000 10,073,000 10,073,000  8,696,000 30,773,000 30,773,000 6,913,000 6,913,000 3,841,000 4,605,000 3,841,000 3,841,000                                           
      operating profit
                                       -2,954,000 -2,954,000 12,836,000 -38,541,000 -38,541,000 -30,882,000 -30,882,000 2,099,000 2,099,000 16,002,000 16,002,000 67,009,000 -1,814,273,000 31,265,000 31,265,000 18,051,000 18,051,000 13,992,000 13,992,000 -1,814,273,000 9,663,000 9,663,000 -217,040,000 -217,040,000 30,407,000 30,407,000 256,926,000 256,926,000 64,043,000 64,043,000 64,043,000 71,748,000 71,748,000 73,738,000 73,738,000 -447,128,000 98,061,000 137,072,000 137,072,000 454,249,000 115,834,000 87,950,000 87,950,000  101,689,000 512,846,000 512,846,000 175,446,000 175,446,000 78,882,000 115,284,000 78,882,000 78,882,000                                           
      interest and financing (costs) income
                                       -2,691,000 -2,691,000                                                                                              
      profit from continuing operations before income tax
                                       -2,531,000 -2,531,000 12,733,000 792,000 792,000 90,000 90,000 4,631,000 4,631,000 16,445,000 16,445,000 48,698,000  30,855,000 30,855,000 14,420,000 14,420,000                                                                               
      profit from continuing operations
                                       -24,110,000 -24,110,000 5,649,000   -7,000,000 -7,000,000 7,324,000 7,324,000 5,669,000 5,669,000   18,202,000 18,202,000 8,700,000 8,700,000                                                                               
      profit from discontinued operations
                                              203,000 203,000 -3,000,000 -3,000,000   3,745,000 3,745,000 -339,438,000 -339,438,000                                                                               
      profit for the period
                                       -24,110,000 -24,110,000 5,649,000   -7,000,000 -7,000,000 7,527,000 7,527,000 2,669,000 2,669,000   21,947,000 21,947,000      -95,638,000 -95,638,000 -197,585,000 -197,585,000 -6,513,000 -6,513,000   21,535,000 21,535,000 21,535,000 39,514,000 39,514,000 30,643,000 30,643,000  38,330,000 -43,968,000 -43,968,000  78,373,000 49,505,000 49,505,000  73,818,000   110,743,000 110,743,000 58,700,000 81,753,000 58,700,000 58,700,000                                           
      profit attributable to shareholders of the company
                                                                                                                                      
      profit per share attributable to shareholders
                                                                                                                                      
      basic profit per share
                                       -0.03 -0.03 0.01   -0.01 -0.01 0.02 0.02 0.01 0.01                                                                                     
      diluted profit per share
                                       -0.03 -0.03 0.01   -0.01 -0.01 0.02 0.02 0.01 0.01                                                                                     
      income from discontinued operations
                                           -2,797,000                                                                                           
      loss on disposal of assets
                                          -462,000 -462,000 -66,000 -66,000  -40,000 307,000 307,000 2,121,000 159,000 221,000 221,000   291,000 291,000 159,000 24,000 24,000 5,000 5,000 11,000 11,000 1,926,000 1,926,000  278,000 278,000  1,819,000 6,000 6,000 830,000  36,000  509,000 -23,000                 21,000           1,667,000    100,000  -187,000       -904,000 -904,000             
      gain on marketable securities and other investments
                                          27,425,000 27,425,000 27,311,000 27,311,000 -743,000  -34,000 -34,000                  122,000   550,000  772,000  2,421,000  -21,000 -21,000 -176,000                                                        
      loss for the year
                                          -21,388,000 -21,388,000       -346,876,000                                                                                    
      loss attributable to shareholders of the company
                                                                                                                                      
      loss per share attributable to shareholders
                                                                                                                                      
      income from continuing operations
                                           -18,591,000                                                                                           
      loss on marketable securities and other investments
                                               -743,000   4,881,000    565,000 565,000 4,317,000 4,317,000        2,415,000 2,415,000  122,000 122,000  550,000  772,000                                                             
      other expense
                                               -2,211,000         1,669,000                 784,000                                                             
      *see note 4
                                                                                                                                      
      impairment loss on property, plant and equipment and goodwill
                                                   1,881,665,000       1,881,665,000                808,414,000                                                            
      other writedown of assets
                                                   16,451,000       16,451,000 6,891,000 6,891,000                                                                          
      loss on investments in associates
                                                                 102,000 102,000      102,000 102,000 1,285,000 1,426,000                                                           
      profit before income tax
                                                   -1,829,510,000     1,440,000 1,440,000 -1,829,510,000 7,046,000 7,046,000 -220,167,000 -220,167,000 26,476,000 26,476,000 227,813,000 227,813,000 60,435,000 60,435,000 60,435,000 64,513,000 64,513,000 63,087,000 63,087,000 -505,253,000 76,482,000 127,284,000 127,284,000 446,334,000 112,808,000 86,310,000 86,310,000  101,543,000 512,810,000 512,810,000 173,820,000 173,820,000  118,571,000                                             
      profit for the year
                                                   -1,645,142,000       -1,645,142,000       106,544,000 106,544,000        -649,615,000    318,058,000      347,223,000 347,223,000                                                 
      earnings per share attributable to shareholders of the company:
                                                                                                                                      
      continuing operations:
                                                                                                                                      
      impairment loss on property, plant and equipment
                                                             254,910,000 254,910,000                                                                        
      earnings per share attributable to shareholders of the company - continuing operations:
                                                                                                                                      
      * see note 5
                                                                                                                                      
      loss for the period
                                                      -330,738,000 -330,738,000 -3,893,000 -3,893,000                                                8,102,044                             
      impairment loss on investment in associates
                                                                          14,051,000 12,707,000                                                           
      writedown of assets
                                                                 3,001,000 3,001,000        3,990,000                                                        -44,645,000    
      basic earnings (deficit) per share
                                                                          -0.91                                                            
      diluted earnings (deficit) per share
                                                                          -0.91                                                            
      loss on investments in significantly influenced companies
                                                                            909,000 909,000 5,627,000 1,375,000 463,000 463,000  1,281,000 4,225,000 4,225,000 1,067,000 1,067,000                                               
      transaction costs
                                                                               552,000 1,649,000 1,649,000  17,804,000                                                   
      attributable to: - sum
                                                                               78,373,000                                                       
      depreciation and depletion
                                                                                  -6,085,000                                                    
      corporate administrative and overhead expenses
                                                                                  -30,793,000                                                    
      hellas gold administrative and overhead expenses
                                                                                  -9,569,000                                                    
      hellas gold water treatment expenses
                                                                                  -4,059,000                                                    
      share-based compensation expense
                                                                                  -43,225,000                                                    
      depreciation
                                                                                  -1,323,000                                                    
      impairment of exploration and evaluation assets
                                                                                  -945,000                                                    
      share of profit of associate
                                                                                  4,000                                                    
      operating income
                                                                                  -78,707,000                                                    
      interest income
                                                                                  239,000                       -106,978                             
      hedge contract profit
                                                                                  235,000                                                    
      discounting of vat and tax recoverable
                                                                                  -2,751,000                                                    
      accretion of decommissioning liability
                                                                                  -420,000                                                    
      loss before tax
                                                                                  -80,696,000                                                    
      loss for the year after tax
                                                                                  -82,556,000                                                    
      equity holders of the parent
                                                                                  -81,816,000                                                    
      non controlling interest
                                                                                  -740,000                                                    
      loss per share
                                                                                                                                      
      basic
                                                                                  -0.45                                                    
      diluted
                                                                                  -0.45                                                    
      total cost of sales
                                                                                   118,647,000 468,898,000 468,898,000 124,974,000 124,974,000 105,528,000 111,274,000 105,528,000 105,528,000                                           
      defined benefit plan expense
                                                                                   635,000 2,088,000 2,088,000 418,000 418,000                                               
      gain on marketable securities
                                                                                    -664,000 -664,000 1,528,000 1,528,000 -635,000  -635,000 -635,000 -6,572,000 -4,489,000 -4,489,000 254,000    -1,689,000 -1,689,000  -1,083,000 964,000 -2,475,000                              
      other
                                                                                      -4,069,000 -4,069,000                                               
      asset retirement obligation costs
                                                                                      387,000 387,000 366,000 407,000 366,000 366,000  511,000 511,000 511,000 511,000 513,000 513,000 291,000 291,000 65 78,000 53,000 3,108,000  233,000 2,609,000                           
      employee benefit expenses
                                                                                        423,000 433,000 423,000 423,000                                           
      other incomes
                                                                                        -1,397,000 -1,066,000 -1,397,000 -1,397,000                                           
      profit before taxation
                                                                                        79,325,000  79,325,000 79,325,000                                           
      (gain) loss on disposal of assets
                                                                                         -3,092,000    -250,000 -250,000       119                                 
      (gain) loss on marketable securities
                                                                                         -654,000        -1,112,000 -1,112,000                                    
      gold sales
                                                                                            782,850,000 190,305,000 190,305,000 206,443,000 206,443,000 181,479,000 181,479,000 358,467,000 358,467,000 81,608 80,147,000 52,206,000 277,723,000  63,976,000 65,013,000 80,059,000 68,675,000 179,302,000 38,186,000 38,186,000 74,876,000 41,548,000 77,641,000 28,680,000 28,680,000 11,007,000 11,007,000 8,592,000 8,592,000 33,153,000 33,153,000 6,894,000 9,449,000 6,894,000 6,894,000 8,973,000 8,973,000 36,814,000 9,449,000 10,375,000  
      iron ore sales
                                                                                            8,325,000                                          
      expenses
                                                                                                                                      
      operating costs
                                                                                            282,465,000 69,095,000 69,095,000 72,303,000 72,303,000 66,873,000 66,873,000 132,464,000 132,464,000 28,109 28,502,000 18,442,000 92,004,000  25,943,000 23,265,000 22,977,000 19,819,000 72,691,000 16,945,000 16,945,000 31,642,000 15,065,000 45,850,000 15,022,000 15,022,000 8,574,000 8,574,000 7,747,000 7,747,000 33,109,000 33,109,000 5,250,000 6,052,000 5,250,000 5,250,000 6,265,000 6,265,000 22,604,000 6,052,000 6,217,000  
      depletion, depreciation and amortization
                                                                                            106,791,000 27,232,000 27,232,000 29,504,000 29,504,000 23,242,000 23,242,000 38,658,000 38,658,000 9,017 6,538,000 4,460,000 25,995,000  6,887,000 6,772,000 3,512,000 8,824,000 20,041,000 4,073,000 4,073,000 4,645,000 3,108,000 1,763,000 1,831,000 1,831,000 87,000 87,000 84,000 84,000 4,431,000 4,431,000 1,064,000 2,628,000 1,064,000 1,064,000 1,059,000 1,059,000 10,321,000 2,538,000 2,440,000  
      general and administrative
                                                                                            59,769,000 10,771,000 10,771,000 13,828,000 13,828,000 15,529,000 15,529,000 32,530,000 32,530,000 7,442 7,897,000 8,762,000 38,299,000  12,349,000 6,224,000 9,937,000 9,794,000 26,798,000 5,756,000 5,756,000 4,618,000 7,426,000 19,030,000 4,154,000 4,154,000 3,555,000 3,555,000 2,673,000 2,673,000 5,531,000 5,531,000 1,124,000 1,035,000 1,124,000 1,124,000 1,245,000 1,245,000 4,961,000 1,035,000 724,000  
      exploration
                                                                                            23,181,000 5,021,000 5,021,000 2,950,000 2,950,000 3,602,000 3,602,000 11,970,000 11,970,000 3,182 3,374,000 2,062,000 12,316,000  3,000 7,443,000 2,672,000 2,191,000 11,634,000 2,823,000 2,823,000 2,865,000 2,796,000 12,719,000                   
      accretion of asset retirement obligations
                                                                                            1,564,000                                          
      interest and other income
                                                                                            -12,937,000 -8,970,000 -8,970,000 1,338,000 1,338,000 671,000 671,000 2,262,000 2,262,000 996 391,000 196,000 10,508,000  1,172,000 2,853,000 2,469,000 3,844,000 9,397,000 1,852,000 1,852,000 1,786,000 1,940,000 7,048,000 2,043,000 2,043,000 2,258,000 2,258,000 836,000 836,000 2,762,000 2,762,000 365,000 392,000 365,000 365,000 967,000 967,000 1,415,000 392,000 1,977,000  
      income before income taxes and non-controlling interests
                                                                                            313,290,000       146,921,000 146,921,000                                  
      income tax
                                                                                                                                      
      current
                                                                                            -95,022,000 -21,652,000 -21,652,000 -26,808,000 -26,808,000 -21,131,000 -21,131,000 -44,862,000 -44,862,000 -13,812 -7,636,000 -6,017,000 -25,403,000  -3,248,000 -8,076,000 -8,397,000 -5,682,000 -4,823,000 -2,025,000 -2,025,000 -1,042,000 -22,000 -2,080,000     -40,000 -40,000 1,406,000 1,406,000 58,000 -104,000 58,000 58,000 1,845,000 1,845,000 1,107,000 -104,000 -498,000  
      future
                                                                                            5,252,000 -459,000 -459,000 3,835,000 3,835,000 1,412,000 1,412,000 2,972,000 2,972,000 8,873 469,000 -1,227,000 12,904,000  8,356,000 9,701,000 -4,843,000 -309,000 -17,261,000 -1,953,000 -1,953,000 -6,195,000 -5,676,000 1,491,000     -1,421,000 -1,421,000 -757,000 -757,000 1,203,000  1,203,000 1,203,000 670,000 670,000 -3,570,000    
      non-controlling interests in income
                                                                                            -17,457,000                                          
      net income for the year
                                                                                            206,063,000       102,404,000 102,404,000    163,656,000      35,421,000     3,300,000               -45,033,000    
      earnings per share
                                                                                                                                      
      basic income per share
                                                                                            0.38                                          
      diluted income per share
                                                                                            0.38                                          
      interest expense and financing costs
                                                                                             1,992,000 1,992,000                                        
      income before income taxes and non-controlling interest
                                                                                             76,010,000 76,010,000 87,500,000 87,500,000 75,370,000 75,370,000   35,322 33,720,000 20,667,000 181,254,000                              
      income tax (expense) recovery
                                                                                                                                      
      non-controlling interest
                                                                                             -5,126,000 -5,126,000 -4,019,000 -4,019,000 -2,806,000 -2,806,000   -229 -653,000 -362,000 -5,099,000  598,000 -690,000 -5,007,000                          
      retained earning (deficit), beginning of period
                                                                                             1,729,000                                         
      retained earning (deficit), end of period
                                                                                             50,502,000                                         
      basic income per share - us
                                                                                             0.09 0.09 0.11 0.11 0.1 0.1 0.26 0.26 0.08 0.07 0.04 0.46   0.05 0.07 0.06 0.1     0.01                   
      diluted income per share - us
                                                                                             0.09 0.09 0.11 0.11 0.1 0.1 0.26 0.26 0.08 0.07 0.04 0.46   0.05 0.07 0.06 0.1     0.01                   
      loss on marketable securities
                                                                                                254,000                                      
      deficit, beginning of period
                                                                                                 -51,116,000 -51,116,000   -114,559 -140,459,000 -153,520,000   -254,244,000 -271,284,000 -296,439,000 -317,176,000  -314,157,000 -314,157,000 -340,888,000 -353,470,000    -364,226 -364,226               
      retained earnings (deficit), end of period
                                                                                                 1,729,000 1,729,000                                    
      loss on derivative contract
                                                                                                        2,956,000  739,000                            
      deficit, beginning of year
                                                                                                   -153,520,000 -153,520,000               -356,770,000                   
      as previously reported
                                                                                                        -317,176,000      -353,470,000            -293,702,000 -293,702,000       -247,649,000 -243,224,000 -250,078,000  
      change in accounting policy
                                                                                                              873,000                    -1,020,000    
      as adjusted
                                                                                                   -153,520,000 -153,520,000    -317,176,000      -352,597,000                        
      deficit, end of year
                                                                                                   -51,116,000 -51,116,000    -153,520,000      -317,176,000     -353,470,000                   
      revenue - sum
                                                                                                    360,729,000         72,519,000  40,038,000        13,265,000        7,259,000       
      expenses - sum
                                                                                                    215,527,000         45,791,000  30,847,000        13,280,000        10,193,000       
      (gain) loss on marketable securities and restricted asset
                                                                                                     -1,168                                 
      deficit, end of period
                                                                                                     -84,405 -114,559,000 -140,459,000   -153,059,000 -254,244,000 -271,284,000 -296,439,000  -308,944,000 -308,944,000 -314,157,000 -340,888,000                    
      deficit, beginning of year:
                                                                                                                                      
      basic income per share - cdn
                                                                                                        0.5   0.05 0.07 0.06 0.11     0.01                   
      diluted income per share - cdn
                                                                                                        0.49   0.05 0.07 0.06 0.11     0.01                   
      consulting fees
                                                                                                         3,441,150                             
      salaries and benefits
                                                                                                         1,995,482                             
      stock based compensation
                                                                                                         1,329,320                             
      legal fees
                                                                                                         472,267                             
      shareholder information
                                                                                                         197,174                             
      office, telephone and sundry
                                                                                                         136,262                             
      directors’ fees
                                                                                                         117,875                             
      travel and promotion
                                                                                                         35,577                             
      management and administration fees
                                                                                                         41,800                             
      audit and accounting fees
                                                                                                         54,864                             
      regulatory compliance
                                                                                                         38,652                             
      amortization
                                                                                                         10,125                             
      insurance
                                                                                                         10,178                             
      other incomes and
                                                                                                                                      
      recovery of administrative costs
                                                                                                                                      
      expense exploration costs
                                                                                                         30,863                             
      loss for the period before income tax
                                                                                                         8,203,407                             
      future income tax recovery
                                                                                                         -101,363                             
      loss per share — basic and diluted
                                                                                                         0.05                             
      weighted-average number of shares
                                                                                                         164,978,280                             
      other expenses
                                                                                                                                      
      gain on marketable securities held for trading
                                                                                                          -3,081,000                            
      income before income taxes and other items
                                                                                                          95,479,000 16,105,000 43,402,000                          
      basic income per share — us
                                                                                                          0.28                            
      diluted income per share — us
                                                                                                          0.28                            
      unrealized loss on derivative contract
                                                                                                           739,000 739,000 739,000                         
      outstanding
                                                                                                                                      
      basic
                                                                                                           363,565,000 345,051,000                          
      diluted
                                                                                                           365,297,000 346,822,000                          
      accretion of asset retirement obligation
                                                                                                            133,000 133,000 604,000 80,000 80,000 80,000 80,000 661,000 162,000 162,000 161,000 161,000 162,000 162,000 430,000 430,000 108,000          
      income before income taxes
                                                                                                             26,728,000 57,505,000     3,889,000 5,277,000 5,277,000 -15,000 -15,000 -5,995,000 -5,995,000 -14,591,000 -14,591,000 -2,934,000          
      income tax expense - sum
                                                                                                             -5,991,000                         
      mine standby and restructuring costs
                                                                                                              6,575,000                        
      (gain) on disposal of assets
                                                                                                              -3,823,000     -945,000                   
      unrealized gain on derivative contract
                                                                                                              -2,083,000                        
      mine standby cost
                                                                                                               1,954,000 1,954,000                      
      earnings before income taxes
                                                                                                               9,191,000 9,191,000 33,968,000 18,280,000                    
      income tax (expense) recovery - sum
                                                                                                               -3,978,000                       
      outstanding
                                                                                                                                      
      basic weighted-average number of common
                                                                                                                                      
      shares outstanding
                                                                                                               343,867,000 343,867,000                      
      diluted weighted-average number of common
                                                                                                                                      
      net earnings per share
                                                                                                                                      
      basic * us
                                                                                                               0.02 0.02                      
      diluted * us
                                                                                                               0.02 0.02                      
      basic - cdn
                                                                                                               0.02 0.02 0.09 0.04                    
      diluted * cdn
                                                                                                               0.02 0.02                      
      weighted-average number of shares outstanding
                                                                                                                    340,885,429 340,885,429     257,643,212,000 257,643,212,000       221,770,349,000    
      basic weighted-average number of common shares outstanding
                                                                                                                 343,220,000 341,435,000 337,376,000                   
      diluted weighted-average number of common shares outstanding
                                                                                                                 344,915,000 344,161,000 339,177,000                   
      basic - us
                                                                                                                 0.08 0.04                    
      diluted - us
                                                                                                                 0.08 0.04                    
      diluted - cdn
                                                                                                                 0.09 0.04                    
      write down of assets
                                                                                                                   2,186,000                   
      exploration expense
                                                                                                                    3,608,000 3,608,000 3,235,000 3,235,000 2,168,000 2,168,000 4,312,000 4,312,000 798,000 519,000 798,000 798,000 927,000 927,000 1,956,000 519,000 149,000  
      stock based compensation expense
                                                                                                                    625,000 625,000 126,000 126,000 1,888,000 1,888,000 2,894,000 2,894,000 134,000 180,000 134,000 134,000 3,316,000 3,316,000 1,418,000    
      tax recovery (expense) – current
                                                                                                                      -29,000 -29,000               
      tax recovery (expense) – future
                                                                                                                    209,000 209,000 259,000 259,000               
      basic income per share – us
                                                                                                                    0.02 0.02                 
      diluted income per share – us
                                                                                                                    0.02 0.02                 
      basic income per share – cdn
                                                                                                                    0.02 0.02                 
      diluted income per share – cdn
                                                                                                                    0.02 0.02                 
      basic and diluted income per share – us
                                                                                                                                      
      basic and diluted income per share – cdn
                                                                                                                                      
      weighted average number of shares outstanding
                                                                                                                      340,515,511 340,515,511               
      consolidated statements of deficit
                                                                                                                                      
      net income (loss) for the period
                                                                                                                      215 215               
      deficit, end of the period
                                                                                                                      -364,011 -364,011               
      tax recovery
                                                                                                                                      
      deficit at the beginning of the period:
                                                                                                                        -356,770,000 -356,770,000   -294,365,000 -245,543,000 -294,365,000 -294,365,000 -294,424,000 -294,424,000     
      deficit at the end of the period
                                                                                                                        -364,226,000 -364,226,000   -296,038,000 -247,174,000 -296,038,000 -296,038,000 -295,087,000 -295,087,000  -244,483,000 -247,730,000  
      weighted-average number
                                                                                                                                      
      of shares outstanding
                                                                                                                        308,099,316,000 308,099,316,000   254,698,452,000 223,018,742,000 254,698,452,000 254,698,452,000 254,236,824,000 254,236,824,000  223,018,742,000 136,698,457,000  
      basic and diluted loss per share - u.s.
                                                                                                                        -0.02 -0.02   -0.01          
      basic and diluted loss per share - cdn.
                                                                                                                        -0.03 -0.03   -0.01          
      loss on settlement of convertible debenture
                                                                                                                                  227,000    
      loss on disposals of property, plant & equipment
                                                                                                                          -30,000 -30,000           
      deficit at the beginning of the year:
                                                                                                                                      
      as restated
                                                                                                                          -293,702,000 -293,702,000       -248,669,000 -243,224,000 -250,078,000  
      deficit at the end of the year
                                                                                                                          -307,644,000 -307,644,000       -293,702,000    
      basic loss per share - u.s.
                                                                                                                          -0.05 -0.05           
      basic loss per share - cdn. -
                                                                                                                          -0.07 -0.07           
      diluted loss per share - u.s.
                                                                                                                          -0.05 -0.05           
      gain on disposal of investments and advances
                                                                                                                                37,000 37,000     
      writedown of investments and advances
                                                                                                                             -48,000      48,000   
      loss on repayment of convertible debenture
                                                                                                                             227,000      227,000   
      accretion expense
                                                                                                                             102,000 108,000 108,000 107,000 107,000 406,000    
      profit before income taxes
                                                                                                                             -1,527,000 -2,934,000 -2,934,000 -3,178,000 -3,178,000 -42,570,000  2,846,000  
      taxes
                                                                                                                                      
      basic and diluted income per share - u.s.
                                                                                                                             -0.01 -0.01 -0.01    -0.01   
      basic and diluted income per share - cdn.
                                                                                                                             -0.01 -0.01 -0.01    -0.01   
      profit before the undernoted items
                                                                                                                                -3,215,000 -3,215,000 2,261,000  3,042,000  
      reorganization costs
                                                                                                                                      
      gain on disposals of property, plant and equipment
                                                                                                                                  -186,000    
      basic income per share - u.s.
                                                                                                                                  -0.2  0.02  
      basic income per share - cdn. -
                                                                                                                                  -0.28    
      diluted income per share - u.s.
                                                                                                                                  -0.2  0.02  
      conversion of convertible debenture
                                                                                                                                    -463,000  
      profit (loss) before the undernoted items
                                                                                                                                   -1,203,000   
      writedown of property, plant and equipment
                                                                                                                                      
      profit (loss) before income taxes
                                                                                                                                   -1,155,000   
      weighted average number
                                                                                                                                      
      loss on disposals of property, plant and equipment
                                                                                                                                    -196,000  
      write down of investments and advances
                                                                                                                                      
      basic income per share - cdn.
                                                                                                                                    0.03  
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-08-06 2020-06-30 2020-05-01 2020-03-31 2019-12-31 2019-11-04 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-10-26 2018-09-30 2018-06-30 2018-03-31 2018-03-22 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2017-02-24 2016-12-31 2016-10-27 2016-09-30 2016-06-30 2016-05-12 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-10-30 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-05-03 2013-03-31 2013-02-22 2012-12-31 2012-10-29 2012-09-30 2012-06-30 2012-05-07 2012-03-31 2011-09-30 2011-06-30 2011-05-07 2011-03-31 2010-12-31 2010-06-30 2010-03-31 2009-12-31 2009-09-30 2009-06-30 2009-03-31 2009-02-19 2008-12-31 2008-09-30 2008-06-30 2008-03-31 2008-03-27 2007-12-31 2007-09-30 2007-08-03 2007-06-30 2007-05-04 2007-03-31 2007-03-23 2006-12-31 2006-11-06 2006-09-30 2006-08-03 2006-08-02 2006-06-30 2006-05-05 2006-05-04 2006-03-31 2006-03-28 2006-03-23 2005-12-31 2005-10-28 2005-08-04 2005-06-30 2004-10-28 2004-10-27 2004-09-30 2004-07-27 2004-07-26 2004-06-30 2004-05-14 2004-03-31 2004-03-09 2003-12-31 2003-10-31 2003-07-24 2002-06-30 
                                                                                                                             
        assets
                                                                                                                             
        current assets
                                                                                                                             
        cash and cash equivalents
      1,043,935,000 1,078,572,000 978,142,000 856,797,000 676,590,000 595,052,000 514,747,000 540,473,000 476,624,000 456,583,000 262,277,000 279,735,000 241,362,000 309,958,000 374,677,000 481,327,000 439,316,000 409,733,000 530,903,000 451,962,000 450,999,000 435,469,000 435,469,000 308,780,000 308,780,000 177,742,000 129,978,000 129,978,000 115,109,000 220,780,000 286,312,000 378,344,000 378,344,000 423,170,000 454,200,000 479,501,000 479,501,000 539,788,000 483,342,000 642,618,000 883,171,000 883,171,000 364,298,000 364,298,000 125,652,000 230,958,000 230,958,000 288,189,000 384,300,000 446,126,000 445,608,000 498,514,000 539,489,000 539,489,000 559,498,000 614,182,000 589,180,000 665,840,000 668,615,000 668,615,000 816,843,000 816,843,000 271,401,000 271,401,000 314,590,000 20,949,000 386,896,000 356,543,000 305,638,000 20,949,000 294,116,000 314,344,000 306,983,000 283,141,000 265,369,000 149,551,000 135,720,000 107,954,000 61,797,000 61,797,000 51,567,000 96,376,000 79,948,000 46,014,000 46,014,000 56,895,000 75,884,000 75,884,000 61,184,000 61,184,000 59,967,000 59,967,000 81,051,000 81,051,000 124,592,000 124,592,000 124,592,000 162,097,000 162,097,000 162,097,000 33,826,000 33,826,000 33,826,000 68,684,000 92,693,000 92,693,000 82,574,000 82,574,000 82,574,000 86,754,000 86,754,000 86,754,000 93,630,000 93,630,000 105,465,000 105,465,000 85,195,000 41,438,000 41,438,000 
        accounts receivable and other
      209,636,000 235,397,000 201,770,000 190,676,000 195,246,000 107,741,000 109,642,000 122,778,000 104,833,000 93,667,000 123,510,000 91,113,000 70,567,000 75,937,000 61,031,000 68,745,000 97,783,000 86,234,000 69,186,000 73,216,000 76,381,000 86,351,000 86,351,000 71,506,000 71,506,000 75,290,000 77,616,000 77,616,000 82,458,000 66,426,000 80,987,000 61,218,000 61,218,000 83,742,000 79,587,000 78,344,000 78,344,000 82,181,000 60,277,000 52,121,000 54,315,000 54,315,000 61,553,000 61,553,000 49,367,000 75,887,000 75,887,000 85,468,000 74,463,000 85,421,000 82,120,000 117,995,000 81,035,000 81,035,000 82,822,000 90,248,000 89,231,000 99,211,000 93,579,000 93,579,000 112,324,000 112,324,000 55,402,000 55,402,000 60,979,000  58,045,000 38,437,000 37,341,000  34,123,000 42,437,000 29,598,000 26,174,000 32,041,000 20,567,000 18,210,000 14,917,000 36,310,000 36,310,000 22,081,000 26,457,000 31,188,000 30,335,000 30,335,000                                   
        inventories
      289,493,000 290,360,000 276,853,000 278,995,000 290,376,000 269,042,000 255,228,000 235,890,000 236,663,000 231,907,000 218,037,000 198,872,000 191,683,000 200,143,000 185,707,000 178,163,000 170,687,000 170,754,000 170,523,000 176,271,000 169,206,000 162,785,000 162,785,000 165,579,000 165,579,000 163,234,000 151,459,000 151,459,000 132,318,000 140,889,000 137,885,000 144,463,000 144,463,000 147,866,000 180,268,000 168,844,000 168,844,000 169,202,000 148,111,000 126,913,000 120,830,000 120,830,000 120,662,000 120,662,000 117,476,000 181,466,000 181,466,000 175,626,000 197,126,000 219,485,000 214,148,000 223,412,000 224,769,000 224,769,000 233,531,000 229,523,000 244,042,000 220,888,000 203,883,000 203,883,000 220,766,000 220,766,000 216,216,000 216,216,000 218,406,000 8,028,000 200,489,000 160,564,000 159,932,000 8,028,000 147,982,000 147,263,000 122,835,000 121,516,000 129,197,000 117,477,000 104,235,000 95,445,000 86,966,000 86,966,000 75,842,000 61,797,000 52,938,000 57,525,000 57,525,000 45,479,000 39,529,000 39,529,000 41,506,000 41,506,000 35,697,000 35,697,000 23,345,000 23,345,000 18,931,000 18,931,000 18,931,000 10,901,000 10,901,000 10,901,000 7,597,000 7,597,000 7,597,000 6,363,000 7,272,000 7,272,000 5,540,000 5,540,000 5,540,000 5,342,000 5,342,000 5,342,000 5,196,000 5,196,000 5,623,000 5,623,000 6,327,000 6,193,000 6,193,000 
        current other assets
         138,932,000                                                                                                                    
        current derivative assets
      2,377,000 4,165,000 695,000 52,000 1,024,000 979,000 1,611,000 2,502,000 4,992,000 727,000                                                                                                              
        assets held for sale
      13,551,000 13,821,000 16,763,000 16,686,000 18,182,000 27,058,000 27,535,000 27,627,000 27,066,000 27,348,000 27,867,000 27,738,000     48,386,000     11,929,000 11,929,000 11,956,000 11,956,000 12,471,000 12,591,000 12,591,000 13,370,000              822,664,000 822,664,000 1,219,455,000                                    10,531,000                                       
        restricted cash
      2,281,000 2,319,000 2,192,000 2,177,000 2,380,000 2,336,000 2,035,000 2,085,000 2,038,000 2,082,000 2,035,000 2,033,000 2,005,000 2,133,000 2,201,000 2,674,000 2,633,000 2,662,000 2,170,000 2,097,000 2,003,000 1,983,000 1,983,000 1,906,000 1,906,000 20,000 20,000 20,000 294,000 290,000 296,000 299,000 299,000 301,000 318,000 310,000 310,000 305,000 260,000 244,000 240,000 240,000 255,000 255,000 253,000 260,000 260,000 248,000 258,000 258,000 249,000 262,000 262,000 262,000 262,000 262,000 262,000 261,000 261,000 261,000 241,000 241,000 36,794,000 36,794,000 57,059,000  56,663,000 55,417,000 55,400,000  55,399,000 52,425,000 52,221,000 52,121,000 50,000,000  5,500,000 5,500,000   35,000,000 60,000,000 71,010,000 65,710,000 65,710,000 21,853,000 35,303,000 35,303,000 28,481,000 28,481,000 21,250,000 21,250,000 15,000,000 15,000,000                          
        deferred tax assets
      19,487,000 19,487,000 19,487,000 19,487,000 14,748,000 14,748,000 14,748,000 14,748,000 14,507,000 14,507,000 14,507,000 14,507,000 15,900,000 15,900,000                                                                                                          
        other assets
      173,068,000 128,245,000 118,091,000 120,418,000 261,925,000 253,233,000 223,724,000 185,209,000 164,796,000 165,261,000 144,097,000 120,065,000 109,704,000 101,538,000 109,255,000 104,023,000 28,883,000 17,853,000 29,998,000 39,562,000 38,547,000 30,647,000 30,647,000 29,145,000 29,145,000 22,943,000 15,418,000 15,418,000 20,311,000 11,854,000 10,592,000        23,261,000 11,938,000 48,297,000 48,297,000 86,165,000 86,165,000 81,469,000 93,084,000 93,084,000 83,147,000 69,890,000 62,245,000 52,597,000 43,605,000 61,398,000 61,398,000                                       8,103,000 8,103,000 8,470,000 8,470,000 8,470,000 8,022,000 8,022,000 8,022,000 6,288,000 6,288,000 6,288,000                 
        non-current derivative assets
      12,614,000 15,141,000   5,025,000  2,658,000 7,036,000 14,902,000 10,106,000                                                                                                              
        property, plant and equipment
      4,626,398,000 4,423,730,000 4,245,172,000 4,118,782,000 4,007,052,000 3,917,785,000 3,821,019,000 3,755,559,000 3,673,191,000 3,647,273,000 3,618,070,000 3,596,262,000 3,622,861,000 3,650,725,000 3,625,931,000 4,003,211,000 3,970,909,000 4,051,887,000 4,004,550,000 3,998,493,000 4,027,210,000 4,044,955,000 4,044,955,000 4,067,082,000 4,067,082,000 4,088,202,000 3,997,067,000 3,997,067,000 3,999,345,000 4,009,451,000 3,988,476,000 4,208,988,000 4,208,988,000 4,275,264,000 4,243,803,000 4,227,397,000 4,227,397,000 4,160,488,000 3,747,076,000 3,698,141,000 3,645,827,000 3,645,827,000 3,567,473,000 3,567,473,000 3,498,434,000 4,775,510,000 4,775,510,000 4,747,759,000 5,822,828,000 5,777,422,000 5,988,393,000 5,963,611,000 5,872,154,000 5,872,154,000 5,806,914,000 5,754,756,000 5,684,382,000 6,081,177,000 5,932,883,000 5,932,883,000 5,868,742,000 5,868,742,000 6,012,298,000 6,012,298,000 5,914,978,000  5,847,075,000 2,821,366,000 2,775,443,000  2,742,579,000                      262,297,000 262,297,000 236,504,000 236,504,000 236,504,000 208,394,000 208,394,000 208,394,000 186,610,000 186,610,000 186,610,000 186,656,000 80,037,000 80,037,000 53,736,000 53,736,000 53,736,000 28,231,000 28,231,000 28,231,000 25,704,000 25,704,000 23,784,000 23,784,000 61,876,000 61,826,000 61,826,000 
        goodwill
      92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 92,591,000 99,462,000        50,276,000 50,276,000 50,276,000 526,296,000 526,296,000 526,296,000 526,296,000 526,296,000 526,296,000 526,296,000 526,296,000 526,296,000 839,710,000 839,710,000 839,710,000 839,710,000 839,710,000 669,311,000 669,311,000 640,479,000  640,479,000 365,928,000 365,928,000  365,928,000 365,928,000 324,935,000 324,935,000 324,935,000           2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000 2,238,000                 
        liabilities & equity
                                                                                                                             
        current liabilities
                                                                                                                             
        accounts payable and accrued liabilities
      472,273,000 409,310,000 374,578,000 366,690,000 307,106,000 250,167,000 236,513,000 254,030,000 191,666,000 196,960,000 195,886,000 191,705,000 148,795,000 177,154,000 178,017,000 195,334,000 167,784,000 152,427,000 172,877,000 179,372,000 195,088,000 144,629,000 144,629,000 131,067,000 131,067,000 139,104,000 121,284,000 121,284,000 113,005,000 103,139,000 140,878,000 93,420,000 93,420,000 91,340,000 101,276,000 110,651,000 110,651,000 98,339,000 77,435,000 104,397,000 90,705,000 90,705,000 119,351,000 119,351,000 92,930,000 220,875,000 220,875,000 236,819,000 220,151,000 223,808,000 168,708,000 184,712,000 185,013,000 185,013,000 171,775,000 185,454,000 211,406,000 215,514,000 228,113,000 228,113,000 224,567,000 224,567,000 214,596,000 214,596,000 161,823,000  231,675,000 167,579,000 146,809,000  148,490,000 152,781,000 130,476,000 140,191,000 157,250,000 50,898,000 43,972,000 34,098,000 42,658,000 42,658,000 42,686,000 54,446,000 48,876,000 39,943,000 39,943,000 34,915,000 33,564,000 33,564,000 30,813,000 30,813,000 29,267,000 29,267,000 20,419,000 20,419,000 17,625,000 17,625,000 17,625,000 16,842,000 16,842,000 16,842,000 19,730,000 19,730,000 19,730,000 14,755,000 9,658,000 9,658,000 6,033,000 6,033,000 6,033,000 4,845,000 4,845,000 4,845,000 4,997,000 4,997,000 7,164,000 7,164,000 8,931,000 8,010,000 8,010,000 
        current portion of lease liabilities
      5,759,000 5,936,000 5,107,000 4,693,000 5,073,000 4,614,000 4,487,000 5,020,000 4,916,000 4,184,000 4,552,000 4,777,000 4,542,000 4,703,000 5,973,000 7,228,000 8,994,000 10,274,000 11,412,000 11,297,000    9,409,000 9,409,000 9,913,000 8,420,000 8,420,000 8,802,000 6,108,000                                                                                          
        current portion of asset retirement obligation
      5,327,000 5,351,000 5,528,000  2,367,000 2,881,000                          431,000 431,000 1,232,000 2,682,000 3,489,000 3,489,000 2,647,000 3,560,000                                                                                 
        current derivative liabilities
      64,142,000 70,927,000 76,967,000 25,587,000 24,957,000 7,174,000 3,612,000 279,000 1,202,000                                                                                                               
        liabilities associated with assets held for sale
      10,459,000 10,321,000 10,334,000 10,133,000 11,182,000 11,119,000 11,225,000 10,867,000 10,834,000 10,698,000 10,827,000 10,479,000     386,000     4,229,000 4,229,000 4,219,000 4,219,000 4,257,000 4,207,000 4,207,000 4,370,000                                                                                           
        debt
      1,258,517,000 1,157,148,000 932,814,000 915,425,000 849,196,000 748,033,000 643,762,000 636,059,000 596,503,000 546,018,000 493,420,000 494,414,000 497,315,000 497,249,000 482,770,000 489,763,000 493,621,000 359,640,000 435,966,000 434,465,000 326,224,000 380,423,000 380,423,000 418,458,000 418,458,000 413,065,000 449,755,000 449,755,000 449,128,000 596,526,000 595,977,000 595,429,000 595,429,000 594,880,000 594,332,000 593,783,000 593,783,000 593,235,000 592,686,000 591,845,000 591,589,000 591,589,000 591,040,000 591,040,000 590,492,000 589,944,000 589,944,000 589,395,000 588,846,000 588,298,000 587,761,000 587,201,000 586,652,000 586,652,000 586,104,000 585,555,000 585,006,000 584,519,000 583,320,000 583,320,000 582,974,000 582,974,000 50,000,000 50,000,000 50,000,000  75,732,000 19,255,000 39,038,000  63,596,000     147,000 5,121,000 5,115,000                                          
        lease liabilities
      9,622,000 10,511,000 10,071,000 10,030,000 11,194,000 11,207,000 11,076,000 12,092,000 13,044,000 11,281,000 11,664,000 12,164,000 12,521,000 13,221,000 14,151,000 14,895,000 15,581,000 13,263,000 13,956,000 14,659,000 9,492,000 11,399,000 11,399,000 13,148,000 13,148,000 15,143,000 18,529,000 18,529,000 16,759,000 14,115,000                                                                                          
        employee benefit plan obligations
      12,618,000 11,985,000 11,356,000 10,910,000 11,137,000 11,127,000 10,230,000 10,261,000 8,485,000 8,310,000 9,868,000 8,910,000 9,941,000 8,639,000 9,011,000 8,942,000 21,893,000 21,654,000 21,364,000 21,974,000 18,377,000 17,464,000 17,464,000 17,084,000 17,084,000 18,224,000                                                                                              
        asset retirement obligations
      133,864,000 133,581,000 133,469,000 127,925,000 128,153,000 127,288,000 126,012,000 125,090,000 105,972,000 111,635,000 110,664,000 105,893,000 112,256,000 125,457,000 131,615,000 131,367,000 109,416,000 109,581,000 106,692,000 106,677,000 94,029,000 94,174,000 94,174,000 94,175,000 94,175,000 94,235,000 88,568,000 88,568,000 88,721,000 93,052,000 93,319,000 97,582,000 97,582,000 97,072,000 96,863,000 96,195,000 96,195,000 91,139,000 82,004,000 89,710,000 89,778,000 89,778,000 79,649,000 79,649,000 79,717,000 103,040,000 103,040,000 102,636,000 111,240,000 110,182,000 109,672,000 109,069,000 87,004,000 87,004,000 86,423,000 85,841,000 85,259,000 80,974,000 80,310,000 80,310,000 79,971,000 79,971,000 51,286,000 51,286,000 50,640,000  50,443,000 34,417,000 34,030,000  33,632,000 24,275,000 27,682,000 27,152,000 26,566,000 5,025,000 4,957,000 4,872,000 4,812,000 4,812,000 4,526,000 6,517,000 6,384,000 8,290,000 8,290,000 5,381,000 5,580,000 5,580,000 5,407,000 5,407,000 5,420,000 5,420,000                            
        non-current derivative liabilities
      78,971,000 54,307,000 48,396,000 35,743,000 52,539,000 32,254,000 27,128,000 18,843,000 3,708,000 1,811,000                                                                                                              
        deferred income tax liabilities
      344,128,000 347,980,000 358,197,000 434,939,000 399,986,000 410,963,000 407,448,000 399,109,000 465,239,000 434,509,000 417,158,000 424,726,000 461,797,000 450,334,000 428,907,000 439,195,000 379,775,000 383,308,000 405,215,000 402,713,000 410,166,000 413,339,000 413,339,000 415,413,000 415,413,000 412,717,000 419,205,000 419,205,000 413,421,000 424,943,000 429,929,000 544,519,000 544,519,000 556,135,000 546,728,000 549,127,000 549,127,000 556,126,000 433,620,000 442,933,000 443,501,000 443,501,000 425,539,000 425,539,000 423,613,000 596,796,000 596,796,000 607,871,000 922,902,000 839,690,000 880,669,000 869,207,000 864,019,000 864,019,000 852,575,000 851,812,000 842,305,000 959,300,000 952,287,000 952,287,000 816,941,000 816,941,000 871,056,000 871,056,000 871,371,000  870,313,000 335,145,000                                                    
        equity
                                                                                                                             
        share capital
      3,379,147,000 3,423,439,000 3,442,250,000 3,433,778,000 3,433,327,000 3,431,267,000 3,419,937,000 3,413,365,000 3,410,536,000 3,410,609,000 3,242,668,000 3,241,644,000 3,241,189,000 3,240,952,000 3,240,665,000 3,225,326,000 3,225,173,000 3,224,830,000 3,157,117,000 3,144,644,000 3,142,607,000 3,135,955,000 3,135,955,000 3,075,100,000 3,075,100,000 3,054,563,000 3,008,172,000 3,008,172,000 3,007,944,000 3,007,924,000 3,007,924,000 3,007,924,000 3,007,924,000 3,007,924,000 3,007,924,000 3,007,924,000 3,007,924,000 3,007,924,000 2,819,863,000 2,819,821,000 2,819,101,000 2,819,101,000 2,819,101,000 2,819,101,000 2,819,101,000 5,319,101,000 5,319,101,000 5,319,101,000 5,319,101,000 5,319,101,000 5,319,101,000 5,318,950,000 5,315,352,000 5,315,352,000 5,314,813,000 5,314,813,000 5,314,589,000 5,309,770,000 5,303,095,000 5,303,095,000 5,300,957,000 5,300,957,000 5,290,316,000 5,290,316,000 5,282,368,000 583,958,000 5,258,949,000 2,854,369,000 2,825,024,000 583,958,000 2,818,238,000 2,814,679,000 2,708,322,000 2,679,209,000 2,671,634,000 1,221,951,000 951,255,000 947,736,000 931,933,000 931,933,000 920,737,000 760,219,000 754,788,000 753,058,000 753,058,000 752,785,000 750,298,000 750,298,000 741,191,000 741,191,000 740,061,000 740,061,000 739,365,000 739,365,000 739,340,000 739,340,000 739,340,000 737,868,000 737,868,000 737,868,000 573,721,000 573,721,000 573,721,000 571,156,000 509,405,000 509,405,000 446,113,000 446,113,000 446,113,000 445,235,000 445,235,000 445,235,000 445,115,000 445,115,000 444,665,000 444,665,000 422,563,000 369,207,000 369,207,000 
        shares held in trust for restricted share units
      -12,891,000 -9,162,000 -12,965,000                                                                                                                     
        contributed surplus
      2,551,436,000 2,583,047,000 2,607,605,000 2,612,762,000 2,609,850,000 2,607,572,000 2,608,886,000 2,617,216,000 2,615,177,000 2,612,685,000 2,618,045,000 2,618,212,000 2,615,382,000 2,612,463,000 2,610,136,000 2,615,459,000 2,641,587,000 2,639,288,000 2,639,067,000 2,638,008,000 2,636,507,000 2,634,246,000 2,634,246,000 2,628,820,000 2,628,820,000 2,627,441,000 2,625,457,000 2,625,457,000 2,623,523,000 2,621,866,000 2,620,799,000 2,618,969,000 2,618,969,000 2,617,108,000 2,618,323,000 2,616,593,000 2,616,593,000 2,614,132,000 2,611,660,000 2,609,055,000 2,606,567,000 2,606,567,000 2,604,195,000 2,604,195,000 2,602,027,000 46,758,000 46,758,000 47,236,000 45,261,000 44,540,000 41,371,000 38,430,000 38,380,000 38,380,000 37,197,000 35,424,000 78,557,000 76,416,000 71,827,000 71,827,000 65,382,000 65,382,000 69,278,000 69,278,000 70,444,000 52,876,000 80,289,000 27,357,000 30,828,000 52,876,000 28,326,000 22,967,000 19,052,000 22,831,000 17,865,000 18,731,000 18,901,000 17,206,000 19,378,000 19,378,000 17,279,000 16,165,000 16,223,000 13,083,000 13,083,000 11,981,000 10,804,000 10,804,000 12,101,000 12,101,000 9,314,000 9,314,000 8,852,000 8,852,000 8,065,000 8,065,000 8,065,000 978,000 978,000 978,000 1,996,000 1,996,000 1,996,000 2,330,000 1,094,000 1,094,000 1,094,000 1,094,000 1,094,000 1,094,000 1,094,000 1,094,000 1,094,000 1,094,000 1,094,000 1,094,000 1,094,000   
        accumulated other comprehensive income
      6,735,000 -21,070,000 -27,681,000 56,183,000 45,186,000 42,469,000 25,480,000                               -18,085,000 9,118,000 7,653,000                             -3,055,000  -2,213,000 998,000 12,391,000 3,686,000 2,227,000 74,101,000 519,000  -6,431,000 -6,431,000 -8,821,000 1,776,000 -307,000 214,000 214,000    206,000 206,000                              
        deficit
      -1,823,222,000 -1,879,249,000 -2,017,258,000 -2,193,163,000 -2,304,364,000 -2,399,335,000 -2,454,815,000 -2,488,420,000 -2,580,843,000 -2,572,845,000 -2,571,728,000 -2,593,050,000 -2,629,252,000 -2,578,766,000 -2,556,048,000 -2,239,226,000 -2,199,224,000 -2,147,004,000 -2,117,060,000 -2,125,326,000 -2,148,120,000 -2,189,129,000  -2,234,747,000   -2,321,034,000     -2,092,287,000 -2,092,287,000 -1,964,242,000 -1,939,851,000 -1,948,569,000 -1,948,569,000 -1,927,764,000 -1,923,585,000 -1,934,800,000 -1,928,024,000 -1,928,024,000 -1,895,475,000 -1,895,475,000 -1,916,215,000 -1,586,351,000 -1,586,351,000 -1,583,873,000 -367,996,000 -266,416,000 -67,816,000 -53,804,000 -67,720,000 -67,720,000 -80,965,000 -118,597,000          -293,887,000    -293,887,000     -51,116,000 -84,405,000 -114,559,000 -140,459,000 -153,059,000 -153,059,000 -254,244,000 -271,284,000 -296,439,000 -317,176,000 -317,176,000 -308,944,000 -314,157,000 -314,157,000 -340,888,000 -340,888,000 -353,470,000 -353,470,000 389,429,000 389,429,000 -364,011,000 -364,011,000 -364,011,000 -364,226,000 -364,226,000 -364,226,000 -356,770,000 -356,770,000 -356,770,000 -334,171,000 -327,664,000 -327,664,000 -297,381,000 -297,381,000 -297,381,000 -296,038,000 -296,038,000 -296,038,000 -295,087,000 -295,087,000 -293,702,000 -293,702,000 -244,483,000 -243,224,000 -243,224,000 
        total equity attributable to shareholders of the company
      4,101,205,000 4,097,005,000 3,991,951,000 3,896,590,000 3,772,033,000 3,669,816,000 3,586,360,000 3,518,147,000 3,411,238,000 3,416,691,000 3,247,713,000 3,204,068,000 3,160,866,000 3,224,517,000 3,254,526,000 3,570,365,000 3,629,721,000 3,676,522,000 3,637,789,000 3,615,577,000 3,591,589,000 3,541,219,000 3,541,219,000 3,430,797,000 3,430,797,000 3,414,509,000 3,279,562,000 3,279,562,000 3,273,647,000 3,258,410,000 3,283,672,000 3,501,568,000 3,501,568,000 3,628,827,000 3,653,260,000 3,643,542,000 3,643,542,000 3,665,151,000 3,506,000,000 3,493,729,000 3,482,678,000 3,482,678,000 3,523,321,000 3,523,321,000 3,502,199,000 3,764,824,000 3,764,824,000 3,751,681,000 4,963,248,000 5,068,002,000 5,261,756,000 5,272,500,000 5,255,537,000 5,255,537,000 5,239,750,000 5,197,497,000 5,221,736,000 5,892,977,000 5,836,753,000 5,836,753,000 5,929,235,000 5,929,235,000 5,815,009,000 5,815,009,000 5,775,837,000  5,721,262,000 3,167,929,000 3,073,183,000  2,988,434,000                                                 
        attributable to non-controlling interests
      -11,454,000 -10,534,000 -7,012,000 -8,143,000 -9,784,000 -6,078,000 -5,853,000 -6,182,000 -4,296,000 -4,427,000 -4,038,000 -3,200,000 -448,000 3,563,000 2,335,000 69,557,000 41,198,000 40,578,000 43,102,000 40,873,000 42,719,000 45,424,000 45,424,000 58,711,000 58,711,000 59,304,000 59,116,000 59,116,000 60,257,000 63,007,000 63,414,000 75,726,000 75,726,000 78,153,000 77,872,000 79,940,000 79,940,000 81,112,000 83,933,000 87,621,000 88,786,000 88,786,000 151,031,000 151,031,000 167,466,000 168,340,000 168,340,000 169,755,000 299,717,000 304,898,000 305,510,000 305,414,000 312,719,000 312,719,000 310,975,000 312,503,000 273,128,000 277,477,000 285,595,000 285,595,000 284,100,000 284,100,000 318,557,000 318,557,000 316,029,000  322,547,000 49,306,000 41,041,000  38,626,000                                                 
        current portion of asset retirement obligations
         5,071,000   3,538,000 4,019,000 3,692,000 4,382,000 5,277,000 3,980,000 4,088,000 4,088,000 4,088,000 4,088,000 4,701,000 4,701,000 4,701,000 4,701,000 1,783,000 1,783,000 1,783,000 1,783,000 1,783,000 1,782,000 824,000 824,000 824,000 824,000 824,000                                                   1,151,000 1,896,000 509,000 509,000 3,912,000 5,629,000 5,629,000 7,181,000 7,181,000 8,271,000 8,271,000                            
        treasury stock
         -12,970,000 -11,966,000 -12,157,000 -13,128,000 -19,263,000 -15,952,000 -14,821,000 -20,414,000 -20,454,000 -20,454,000 -20,454,000 -20,454,000 -10,289,000 -10,289,000 -10,295,000 -10,879,000 -11,452,000 -11,581,000 -11,587,000  -8,314,000   -8,737,000     -10,104,000 -10,104,000 -10,104,000 -11,056,000 -11,056,000 -11,056,000 -11,056,000 -11,056,000 -8,000,000 -7,794,000 -7,794,000 -7,794,000 -7,794,000 -8,015,000 -8,015,000 -8,015,000 -10,211,000 -10,449,000 -12,005,000 -12,662,000 -12,949,000 -13,480,000 -13,480,000 -14,845,000 -17,357,000 -10,953,000 -11,084,000 -12,307,000 -12,307,000 -7,445,000 -7,445,000 -7,317,000 -7,317,000 -7,355,000  -8,457,000 -4,213,000 -4,432,000  -5,870,000                                                 
        term deposits
             1,136,000    35,000,000 65,000,000 60,000,000 60,000,000   1,001,000 2,904,000 59,034,000 53,364,000 4,836,000 4,836,000 54,800,000 54,800,000 3,275,000 4,889,000 4,889,000 4,775,000 6,672,000 6,646,000 6,631,000 6,631,000 6,626,000 5,524,000 5,508,000 5,508,000 6,304,000 268,771,000 231,258,000 5,292,000 5,292,000 5,305,000 5,305,000 5,317,000 5,295,000 5,295,000 4,382,000 4,454,000 3,702,000 48,702,000 2,800,000 22,800,000 22,800,000 25,026,000 5,026,000 34,702,000 59,600,000 158,927,000 158,927,000                                                            
        accumulated other comprehensive loss
             -4,751,000 -17,680,000 -18,937,000 -20,858,000 -42,284,000 -45,999,000 -29,678,000 -19,773,000 -20,905,000 -27,526,000 -30,297,000 -30,456,000 -30,297,000 -27,824,000 -28,266,000  -30,062,000   -24,296,000     -22,934,000 -22,934,000 -21,859,000 -22,080,000 -21,350,000 -21,350,000    -7,172,000 -7,172,000 3,294,000 3,294,000 5,301,000 -6,669,000 -6,669,000 -20,572,000 -22,669,000 -17,218,000 -18,238,000 -18,127,000 -16,995,000 -16,995,000 -16,450,000 -16,786,000 -17,056,000 -26,273,000 -25,034,000 -25,034,000 -24,535,000 -24,535,000 -17,162,000 -17,162,000 -16,931,000  -10,206,000 -3,454,000          -3,658,000                                          
        current assets - sum
                   646,038,000                                        872,875,000     1,128,617,000    582,865,000                                 157,397,000        90,653,000 110,770,000  94,349,000    96,241,000         
        current liabilities - sum
                   185,945,000                                        193,140,000     240,555,000    260,154,000                                 19,589,000        16,359,000 9,780,000  6,033,000    4,845,000         
        current portion of employee benefit plan assets
                       5,900,000 5,816,000 5,749,000 6,168,000 6,025,000 6,025,000 5,777,000 5,777,000                                                                                               
        current portion of debt
                       66,667,000 55,567,000 66,667,000 216,667,000 216,667,000 216,667,000 216,667,000 216,667,000 66,667,000 33,333,000 33,333,000 33,333,000                                                                                           
        marketable securities
                      21,882,000    195,000 4,654,000 4,654,000 2,889,000 2,889,000 3,828,000 3,357,000 3,357,000 3,735,000 2,719,000 2,572,000 2,843,000 2,843,000 3,720,000 4,104,000 5,010,000 5,010,000 5,169,000 46,882,000 45,191,000 28,327,000 28,327,000 39,497,000 39,497,000 41,445,000 26,585,000 26,585,000 18,331,000 16,021,000 10,393,000 9,374,000 4,251,000 4,520,000 4,520,000 4,637,000 3,309,000 4,387,000 3,156,000 3,352,000 3,352,000 1,988,000 1,988,000 3,052,000 3,052,000 5,418,000  4,190,000 4,272,000 1,562,000  6,864,000 8,027,000 26,058,000 15,559,000 13,951,000 10,854,000 14,154,000 14,618,000 43,610,000 43,610,000 13,382,000 5,636,000                                      
        employee benefit plan assets
                               6,244,000                                                                                              
        current portion of capital lease liabilities
                          10,530,000 10,342,000 10,342,000                                                                                                 
        current portion of employee benefit plan obligations
                           1,133,000 1,133,000 1,080,000 1,080,000                                                                                               
        defined benefit pension plan
                                9,467,000 9,467,000 9,556,000 9,335,000 9,120,000 9,497,000 9,497,000 9,374,000 9,611,000 9,919,000 9,919,000 13,269,000 12,913,000 12,739,000 11,620,000 11,620,000 12,369,000 12,369,000 12,856,000 11,319,000 11,319,000 10,897,000 12,595,000 13,886,000 14,160,000 12,790,000 14,270,000 14,270,000 15,398,000 12,569,000 13,484,000 5,513,000 6,847,000 6,847,000 4,571,000 4,571,000 4,155,000 4,155,000 4,634,000                                                       
        lease liability
                                    6,538,000 6,113,000 6,113,000                                                                                       
        restricted cash and other assets
                                     21,693,000 21,693,000 19,542,000 18,525,000 22,902,000 22,902,000 26,244,000                                                                                  
        other non-current liability
                                       2,648,000 1,664,000        7,087,000 7,087,000 6,876,000 6,821,000 6,821,000 6,166,000    49,194,000 48,452,000 48,452,000 47,711,000 46,970,000                                                                
        flow-through share premium liability
                                           1,981,000                                                                                  
        current debt
                                                10,000,000 10,000,000 30,000,000     8,179,000 16,281,000 16,343,000 8,127,000 8,127,000 16,253,000 16,255,000 16,402,000 16,265,000 12,442,000 12,442,000 10,341,000 10,341,000 45,558,000 45,558,000 70,005,000   85,687,000 90,636,000  93,648,000                                                 
        liabilities held for sale
                                                173,223,000 173,223,000 258,431,000                                    14,820,000                                       
        deferred income tax assets
                                                         104,000 530,000 530,000 1,601,000 1,310,000 997,000 1,673,000 2,607,000 2,607,000 3,149,000 3,149,000 3,253,000 3,253,000 3,449,000  4,727,000 4,329,000 7,412,000  6,562,000                                                 
        other non-current liabilities
                                                      2,127,000 2,177,000 51,290,000                                                                     
        investments in associates
                                                               15,935,000                                                              
        investment in associate
                                                             801,000          719,000    719,000                                                  
        restricted assets and other
                                                            55,581,000 43,605,000 37,330,000 34,062,000 36,905,000 36,905,000 31,846,000 31,846,000 42,387,000 42,387,000 32,388,000  52,640,000 29,950,000 24,404,000  19,741,000 19,328,000 17,325,000 16,724,000 8,265,000 9,879,000 8,257,000 10,012,000 8,349,000 8,349,000                                        
        investments in associate
                                                              10,949,000                                                               
        retained earnings
                                                              -143,401,000 544,148,000 499,172,000 499,172,000 594,876,000 594,876,000 479,894,000 479,894,000 447,311,000  400,687,000 293,870,000 224,818,000  149,953,000 128,590,000 35,880,000 1,729,000                                              
        investments in significantly influenced companies
                                                                31,251,000 31,251,000 27,949,000 27,949,000 30,093,000 30,093,000 21,052,000  18,942,000 7,129,000                                                    
        non-current inventories
                                                                    21,700,000 21,700,000 22,273,000  22,647,000 27,549,000                                                    
        non-current assets
                                                                                                                             
        mine properties and reserves
                                                                       284,218,000    284,218,000                                                  
        other property, plant and equipment
                                                                       143,851,000    143,851,000                                                  
        vat and tax recoverable
                                                                       8,364,000    8,364,000                                                  
        exploration and evaluation assets
                                                                       11,517,000    11,517,000                                                  
        available for sale financial asset
                                                                       2,080,000    2,080,000                                                  
        trade and other receivables
                                                                       10,702,000    10,702,000                                                  
        current taxation
                                                                                                                             
        total assets
                                                                       490,428,000    490,428,000                                                  
        equity and liabilities
                                                                                                                             
        capital and reserves:
                                                                                                                             
        attributable to equity holders of the company:
                                                                                                                             
        other reserves
                                                                       -2,467,000    -2,467,000                                                  
        non-controlling interest
                                                                       1,754,000    1,754,000   31,682,000 27,663,000  6,043,000 5,814,000 5,161,000 4,799,000 4,799,000 5,397,000 5,007,000                                      
        total capital and reserves
                                                                       342,234,000    342,234,000                                                  
        non-current liabilities
                                                                                                                             
        deferred tax liabilities
                                                                       47,473,000   328,102,000 47,473,000 329,537,000                                                 
        other liabilities and provisions
                                                                       6,567,000    6,567,000                                                  
        deferred revenue
                                                                       42,007,000    42,007,000                                                  
        trade and other payables
                                                                       25,263,000    25,263,000                                                  
        derivative financial liability
                                                                                                                             
        total liabilities
                                                                       148,194,000    148,194,000                                                  
        total equity and liabilities
                                                                       490,428,000    490,428,000                                                  
        defined benefit plan
                                                                        20,821,000                                                     
        pension fund obligation
                                                                         12,166,000 12,640,000  12,595,000                                                 
        subsequent events
                                                                                                                             
        long-term inventories
                                                                          26,693,000                                                   
        investment in significantly influenced company
                                                                          5,726,000  6,324,000 6,202,000 5,375,000                                               
        derivative contract
                                                                                       1,478,000 2,217,000 2,956,000 2,956,000                                   
        future income taxes
                                                                             606,000 1,495,000 4,437,000 4,264,000 634,000 1,590,000 2,974,000 175,000 175,000 64,961,000 30,480,000 957,000 959,000 959,000 683,000 1,152,000 1,152,000 6,352,000 6,352,000 10,182,000 10,182,000 11,005,000 11,005,000 11,214,000 11,214,000 11,214,000 11,471,000 11,471,000 11,471,000 10,051,000 10,051,000 10,051,000 27,691,000 6,999,000 6,999,000 3,007,000 3,007,000 3,007,000 1,939,000 1,939,000 1,939,000 3,165,000 3,165,000 3,830,000 3,830,000 236,000 234,000 234,000 
        mining interests
                                                                             2,793,722,000 2,606,437,000 2,606,048,000 2,580,816,000 703,700,000 691,316,000 681,134,000 668,162,000 668,162,000 625,133,000 404,428,000 381,950,000 377,705,000 377,705,000 372,001,000 334,404,000 334,404,000 316,555,000 316,555,000 311,080,000 311,080,000                            
        liabilities
                                                                                                                             
        debt - current
                                                                             98,523,000 69,045,000 61,626,000 56,499,000      35,390,000 60,380,000 70,850,000 65,422,000 65,422,000                                   
        debt - long-term
                                                                             68,140,000 110,556,000 129,618,000 134,533,000      139,000 139,000 139,000 139,000 139,000                                   
        contractual severance obligations
                                                                                       1,220,000 1,248,000 1,479,000 1,479,000 1,763,000 1,904,000 1,904,000 2,202,000 2,202,000 3,216,000 3,216,000                            
        non-controlling interests
                                                                             36,021,000   26,144,000                                             
        shareholders* equity
                                                                                                                             
        commitments and contingencies
                                                                                                                             
        revenue
                                                                                                                             
        gold sales
                                                                             782,850,000 206,443,000 181,479,000 358,467,000 81,608,000  52,206,000   65,013,000 80,059,000 68,675,000   38,186,000                                  
        iron ore sales
                                                                             8,325,000                                                
        expenses
                                                                                                                             
        operating costs
                                                                             282,465,000 72,303,000 66,873,000 132,464,000 28,109,000  18,442,000   23,265,000 22,977,000 19,819,000   16,945,000                                  
        depletion, depreciation and amortization
                                                                             106,791,000 29,504,000 23,242,000 38,658,000 9,017,000  4,460,000   6,772,000 3,512,000 8,824,000   4,073,000                                  
        general and administrative
                                                                             59,769,000 13,828,000 15,529,000 32,530,000 7,442,000  8,762,000   6,224,000 9,937,000 9,794,000   5,756,000                                  
        exploration
                                                                             23,181,000 2,950,000 3,602,000 11,970,000 3,182,000  2,062,000   7,443,000 2,672,000 2,191,000   2,823,000                                  
        mine standby costs
                                                                             1,335,000 607,000 706,000 2,580,000 881,000       2,433,000                                     
        accretion of asset retirement obligations
                                                                             1,564,000                                                
        foreign exchange gain
                                                                             14,792,000  -3,680,000       2,286,000 -1,686,000 854,000                                     
        gain on disposal of assets
                                                                             -592,000 21,000 -1,506,000 -854,000      1,667,000  -24,000   100,000                                  
        gain on marketable securities
                                                                             -6,572,000 254,000  -1,689,000   964,000                                          
        interest and financing costs
                                                                             8,089,000 1,656,000 2,613,000 824,000 77,000  81,000   756,000 842,000 1,028,000   807,000                                  
        interest and other income
                                                                             -12,937,000 1,338,000 671,000 2,262,000 996,000  196,000   2,853,000 2,469,000 3,844,000   1,852,000                                  
        writedown of assets
                                                                                                                             
        income before income taxes and non-controlling interests
                                                                             313,290,000   146,921,000                                             
        income tax
                                                                                                                             
        current
                                                                             -95,022,000 -26,808,000 -21,131,000 -44,862,000 -13,812,000  -6,017,000   -8,076,000 -8,397,000 -5,682,000   -2,025,000                                  
        future
                                                                             5,252,000 3,835,000 1,412,000 2,972,000 8,873,000  -1,227,000   9,701,000 -4,843,000 -309,000   -1,953,000                                  
        non-controlling interests in income
                                                                             -17,457,000                                                
        net income for the year
                                                                             206,063,000   102,404,000                                             
        weighted-average number of shares outstanding
                                                                                                                             
        basic
                                                                             542,861,000 539,398,000 538,009,000 389,384,000 391,583,000  369,862,000   363,565,000 345,051,000 344,542,000                                     
        diluted
                                                                             545,850,000 541,193,000 540,911,000 391,707,000 392,328,000  371,833,000   365,297,000 346,822,000 345,902,000                                     
        earnings per share
                                                                                                                             
        basic income per share
                                                                             380                                                
        diluted income per share
                                                                             380                                                
        asset retirement obligation costs
                                                                              511,000 513,000 291,000 65,000  53,000   2,609,000                                       
        foreign exchange (gain) loss
                                                                              -1,353,000  -2,966,000 -442,000  -3,089,000        -1,691,000                                  
        income before income taxes and non-controlling interest
                                                                              87,500,000 75,370,000  35,322,000  20,667,000                                          
        income tax (expense) recovery
                                                                                                                             
        net income for the period
                                                                              60,508,000 52,845,000  30,154,000  13,061,000   17,040,000 25,155,000 20,737,000                                     
        basic income per share - us
                                                                              110 100 260 80  40   50 70 60                                     
        diluted income per share - us
                                                                              110 100 260 80  40   50 70 60                                     
        (gain) loss on marketable securities
                                                                               -1,112,000                                              
        deficit, beginning of period
                                                                               -51,116,000  -114,559,000  -153,520,000   -271,284,000 -296,439,000 -317,176,000   -314,157,000                                  
        retained earnings (deficit), end of period
                                                                               1,729,000                                              
        loss on derivative contract
                                                                                                                             
        deficit, beginning of year
                                                                                -153,520,000                                             
        as previously reported
                                                                                                                             
        change in accounting policy
                                                                                                                             
        as adjusted
                                                                                -153,520,000                                             
        deficit, end of year
                                                                                -51,116,000                                             
        investment in sino gold
                                                                                 345,415,000                                            
        commitment
                                                                                                                             
        (gain) loss on disposal of assets
                                                                                 119,000                                            
        (gain) loss on marketable securities and restricted asset
                                                                                 -1,168,000                                            
        deficit, end of period
                                                                                 -84,405,000  -140,459,000   -254,244,000 -271,284,000 -296,439,000   -308,944,000                                  
        shareholders equity
                                                                                                                             
        subsequent event
                                                                                                                             
        income tax expense
                                                                                                                             
        debt — current
                                                                                    139,000 139,000                                        
        current portion of future income taxes
                                                                                    1,097,000 1,097,000 1,204,000 494,000                                      
        debt — long-term
                                                                                                                             
        shareholders’ equity
                                                                                                                             
        other
                                                                                      2,238,000 2,238,000 2,238,000 2,238,000 2,238,000                                   
        unrealized loss on derivative contract
                                                                                      739,000 739,000 739,000                                     
        income before income taxes and other items
                                                                                      16,105,000 43,402,000                                      
        weighted-average number of shares
                                                                                                                             
        outstanding
                                                                                                                             
        basic income per share - cdn
                                                                                      50 70 60                                     
        diluted income per share - cdn
                                                                                      50 70 60                                     
        accretion of asset retirement obligation
                                                                                       133,000 133,000   80,000                                  
        income before income taxes
                                                                                        26,728,000                                     
        bank indebtedness
                                                                                           10,651,000 10,505,000 10,505,000 15,516,000 15,516,000 15,367,000 15,367,000                            
        commitments
                                                                                                                             
        accounts receivable, marketable securities and prepaids
                                                                                           28,885,000 29,737,000 29,737,000 30,550,000 30,550,000                              
        current portion of long-term debt
                                                                                           383,000 367,000 367,000                                
        long-term debt
                                                                                           50,499,000 40,499,000 40,499,000                                
        accumulated other comprehensive
                                                                                           -61,000 -29,000 -29,000                                
        contingencies
                                                                                                                             
        mine standby cost
                                                                                           1,954,000                                  
        earnings before income taxes
                                                                                           9,191,000                                  
        net earnings for the period
                                                                                           5,213,000                                  
        basic weighted-average number of common
                                                                                                                             
        shares outstanding
                                                                                           343,867,000                                  
        diluted weighted-average number of common
                                                                                                                             
        net earnings per share
                                                                                                                             
        basic * us
                                                                                           20                                  
        diluted * us
                                                                                           20                                  
        basic - cdn
                                                                                           20                                  
        diluted * cdn
                                                                                           20                                  
        current portion of long term debt
                                                                                              350,000 350,000 333,000 333,000 10,424,000 10,424,000 1,928,000 1,928,000 1,928,000 2,037,000 2,037,000 2,037,000 1,488,000 1,488,000 1,488,000 1,604,000 122,000 122,000              
        long term debt
                                                                                              50,499,000 50,499,000 50,499,000 50,499,000 50,832,000 50,832,000 50,832,000 50,832,000 50,832,000 50,832,000 50,832,000 50,832,000 50,832,000 50,832,000 50,832,000 51,141,000 35,037,000 35,037,000              
        supplementary cash flow information
                                                                                                                             
        accounts receivable and prepaids
                                                                                                28,306,000 28,306,000                            
        accounts receivable
                                                                                                  14,168,000 14,168,000 10,191,000 10,191,000 10,191,000 9,220,000 9,220,000 9,220,000 8,264,000 8,264,000 8,264,000       4,145,000 4,145,000 4,145,000 3,982,000 3,982,000 3,213,000 3,213,000 2,496,000 2,259,000 2,259,000 
        prepaids
                                                                                                  4,608,000 4,608,000 3,683,000 3,683,000 3,683,000 2,075,000 2,075,000 2,075,000 2,024,000 2,024,000 2,024,000                 
        mineral properties and deferred development
                                                                                                  27,948,000 27,948,000 25,032,000 25,032,000 25,032,000 24,000,000 24,000,000 24,000,000 23,326,000 23,326,000 23,326,000 23,168,000 22,970,000 22,970,000 22,593,000 22,593,000 22,593,000 44,111,000 44,111,000 44,111,000 42,681,000 42,681,000 32,287,000 32,287,000 35,881,000 34,372,000 34,372,000 
        investments and advances
                                                                                                  51,000 51,000 51,000 51,000 51,000 51,000 51,000 51,000 562,000 562,000 562,000    1,224,000 1,224,000 1,224,000 1,224,000 1,224,000 1,224,000 1,224,000 1,224,000 1,258,000 1,258,000 115,000 158,000 158,000 
        current portion of capital lease obligation
                                                                                                  30,000 30,000 36,000 36,000 36,000 21,000 21,000 21,000 37,000 37,000 37,000                 
        capital lease obligation
                                                                                                  74,000 74,000 72,000 72,000 72,000 91,000 91,000 91,000 90,000 90,000 90,000                 
        asset retirement obligation
                                                                                                  11,628,000 11,628,000 11,466,000 11,466,000 11,466,000 11,305,000 11,305,000 11,305,000 11,143,000 11,143,000 11,143,000 9,882,000 9,762,000 9,762,000 7,494,000 7,494,000 7,494,000 7,387,000 7,387,000 7,387,000 7,279,000 7,279,000 7,172,000 7,172,000    
        contractual severance obligation
                                                                                                  3,268,000 3,268,000 3,125,000 3,125,000 3,125,000 2,781,000 2,781,000 2,781,000 2,437,000 2,437,000 2,437,000 954,000 848,000 848,000 557,000 557,000 557,000 477,000 477,000 477,000 398,000 398,000 318,000 318,000    
        shareholders' equity
                                                                                                                             
        warrants
                                                                                                  24,000 24,000                          
        deposits
                                                                                                    50,000,000 50,000,000 50,000,000 50,000,000 50,000,000 50,000,000 50,000,000 50,000,000 50,000,000 50,447,000 35,115,000 35,115,000              
        shareholders' equity - sum
                                                                                                     383,394,000        245,459,000 189,059,000  154,811,000    155,159,000         
        stock based compensation
                                                                                                       6,998,000 6,998,000 6,998,000 5,980,000 5,980,000 5,980,000 6,144,000 6,224,000 6,224,000 4,985,000 4,985,000 4,985,000 4,868,000 4,868,000 4,868,000 5,456,000 5,456,000 1,418,000 1,418,000    
        approved by the board
                                                                                                                             
        paul n. wright
                                                                                                                             
        director
                                                                                                                             
        accounts and other receivables
                                                                                                             15,606,000 10,805,000 10,805,000 6,235,000 6,235,000 6,235,000           
        investments
                                                                                                             562,000 562,000 562,000              
        paul wright
                                                                                                                             
        other assets and advances
                                                                                                              2,031,000 2,031,000              
        deferred gain
                                                                                                                        -329,000 -329,000 82,000 642,000 642,000 
        "robert gilmore"
                                                                                                                             
        other assets and deferred charges
                                                                                                                           66,000 66,000 
        convertible debentures
                                                                                                                           6,882,000 6,882,000 
        equity portion of convertible debentures
                                                                                                                           1,094,000 1,094,000 
        robert gilmore
                                                                                                                             
        provision for reclamation costs
                                                                                                                          3,467,000 3,467,000  
        shares to be issued for convertible debentures
                                                                                                                             
        benefit from reclamation costs
                                                                                                                            3,467,000 
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-09-30 2020-08-06 2020-06-30 2020-05-01 2020-03-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2017-12-31 2017-09-30 2016-12-31 2016-09-30 2016-06-30 2016-05-12 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-05-03 2012-12-31 2011-12-31 2010-09-30 2009-12-31 2009-10-29 2009-03-20 2009-02-19 2008-09-30 2008-06-30 2008-05-01 2008-03-27 2008-02-19 2007-11-01 2007-08-03 2007-05-04 2007-03-23 2006-09-30 2006-06-30 2006-05-05 2006-05-04 2006-03-31 2006-03-23 2005-04-28 2005-03-31 2004-06-30 2004-03-31 2003-12-31 2003-09-30 
                                                                           
          cash flows generated from
                                                                           
          operating activities
                                                                           
          net earnings from continuing operations
         74,866,000  44,663,000                                                                
          adjustments for:
                                                                           
          depreciation and amortization
         60,617,000  4,624,000   200,536,000 -1,104,000      151,679,000 -304,000      52,927,000 52,927,000  24,059,000 17,129,000 85,904,000   53,496,000 3,078,000 57,979,000 -643,000 -14,108,000 31,659,000 137,886,000 -4,754,000 -1,477,000 45,572,000 37,114,000 87,447,000 92,460,000                           
          finance costs
         12,244,000  -3,609,000   23,929,000 -440,000      30,790,000 25,519,000      16,224,000 16,224,000                                              
          interest income
         -8,257,000  175,000   -12,306,000 -2,615,000      -1,818,000 760,000      -389,000                                               
          foreign exchange (gain) loss
                                                                   656,000        
          income tax expense
           6,512,000   5,591,000 13,118,000      134,343,000 5,481,000      21,405,000 21,405,000                                              
          gain on disposal of assets
                                62,000                -3,149,000  -854,000  -70,774,000    -24,000  -72,541,000 287,000 3,290,000 -3,477,000    -904,000 -904,000 -904,000        
          unrealized loss on derivative contracts
         63,390,000                                                                  
          write-down of assets
         2,689,000  -686,000   6,795,000              203,000 203,000  393,000 17,000    15,588,000 28,932,000                                      
          share-based payments expense
         4,362,000  407,000   8,150,000 -631,000      6,229,000 -206,000      1,795,000 1,795,000                                              
          employee benefit plan expense
         1,014,000  251,000   2,951,000 571,000      1,478,000 223,000      691,000 691,000                                              
          non-cash gain on deferred consideration
                                                                           
          property reclamation payments
         -795,000  -268,000   -3,008,000 461,000      -1,798,000 257,000      -526,000        -2,073,000 -528,000 -2,144,000 296,000 -734,000 -80,000           -1,225,000    -652,000 -5,496,000  -537,000 -276,000 -1,183,000              
          employee benefit plan payments
         -420,000  71,000   -4,380,000 1,079,000             -236,000                                               
          income taxes paid
         -48,115,000  19,259,000   -42,112,000 -2,626,000      -62,911,000 14,956,000      -14,719,000                                   -52,000            
          interest received
         8,257,000  -175,000   12,306,000 2,615,000      1,818,000 -760,000      389,000 389,000                                              
          changes in non-cash operating working capital
         1,510,000                                                                  
          net cash generated from operating activities of continuing operations
         138,029,000  68,654,000   274,817,000 32,775,000      260,749,000                                                      
          net cash (used in) generated from operating activities of discontinued operations
                                                                           
          investing activities
                                                                           
          additions to property, plant and equipment
         -158,495,000  -36,245,000   -287,273,000 -28,364,000                                                            
          capitalized interest paid
         -9,116,000  -3,956,000   -3,480,000 -6,775,000                                                            
          proceeds from the sale of property, plant and equipment
         98,000  228,000   1,446,000 -984,000      2,124,000 447,000      22,000 22,000  3,012,000 380,000 7,814,000   194,000 -24,000 4,338,000 205,000 -12,000 385,000 183,000 -128,000 8,000 84,000 56,000 760,000 123,000                           
          proceeds from sale of mining licenses
                                                                           
          value added taxes related to mineral property expenditures
         13,306,000  53,000   -12,250,000 5,785,000      -12,478,000 -10,340,000      -5,651,000        19,303,000 10,741,000                                      
          cash received from deferred consideration
                                                                           
          (purchase) sale of investments in marketable securities
                                                                           
          deposits on property, plant and equipment
                                                                           
          decrease in other investments
                                                                           
          net cash from investing activities of continuing operations
         -4,745,000  -39,920,000   -268,326,000 -30,338,000      -161,107,000                                                      
          financing activities
                                                                           
          issuance of common shares for cash, net of share issuance costs
         2,313,000  -6,363,000                                                                
          contributions from (distributions to) non-controlling interests
                                                                           
          proceeds from term facility - commercial loans and rrf loans
           -19,084,000   123,209,000 -27,679,000                                                            
          proceeds from vat facility
                                                                           
          repayments of vat facility
                                                                           
          term facility commitment fees
                                                                           
          interest paid
         -8,462,000  -6,444,000   -19,427,000 -9,178,000      -16,009,000 5,644,000      -2,770,000                                   525,000          295,000 -185,000 
          principal portion of lease liabilities
         -1,346,000  -150,000   -3,020,000 -104,000      -7,777,000 -537,000      -2,534,000                                               
          purchase of shares for cancellation
                                                                           
          purchase of shares held in trust for restricted share units
         -1,810,000                                                                  
          net cash generated from financing activities of continuing operations
           -27,501,000                                                                
          effect of exchange rates on cash and cash equivalents
                                                                           
          net increase in cash and cash equivalents
         121,536,000  1,486,000   241,126,000 -174,348,000      -492,000 151,027,000      131,107,000 131,107,000       -460,116,000  385,411,000 243,040,000      25,002,000  466,269,000 28,514,000 8,578,000 203,518,000 -13,935,000 15,837,000 55,039,000 -16,422,447 -34,881,828 33,934,000 -13,953,000   13,483,000 1,217,000 26,141,000  -165,776,000 128,271,000 128,271,000 128,271,000    4,959,000 -11,835,000 24,081,000 44,860,000 
          cash and cash equivalents - beginning of period
         856,797,000  80,305,000    194,306,000       -121,171,000      177,742,000 177,742,000  -65,532,000 286,312,000     -159,276,000  -33,469,000 -57,231,000 288,189,000  -54,684,000 25,002,000 589,180,000 816,843,000   23,842,000  27,766,000     46,014,000   14,700,000 1,217,000 59,967,000              
          change in cash in disposal group held for sale
         -191,000  -253,000                                                                
          cash and cash equivalents - end of period
         978,142,000  81,538,000    20,041,000       29,583,000      308,780,000 308,780,000  -105,671,000 220,780,000     56,446,000  209,571,000 -33,469,000 230,958,000  -20,009,000 -54,684,000 614,182,000 668,615,000   32,420,000  13,831,000     79,948,000   -18,989,000 14,700,000 61,184,000              
          revenue
        451.7     258    229.4 217.7  194.7    224.6 287.6  255.9   172.3                                             
          gold produced
        133,769     117,111    112,533 118,791  93,209    111,742 136,922  137,782   101,596                                             
          gold sold
        131,489     116,008    109,817 118,388  94,472    113,594 137,704  134,960   99,241    64,589 94,224                                        
          average realized gold price
        3,270     2,086    1,932 1,688  1,889    1,723 1,919  1,726   1,513    1,177 1,287                                        
          production costs
        162.2     123    109.9 123.5  104.6                                                       
          total cash costs
        1,064     922    845 892  941    687 664  616   603    692                                         
          all-in sustaining costs
        1,520     1,262    1,184 1,259  1,347    986 918  859   1,031                                             
          net earnings for the period
        138     33.6    21.3 -50.5     -58,346,008.3 8.3 41 43,701,954.4 45.6   4.2                       84,145,000   20,737,000  95,972,000 -21,518,000 14,149,000 12,582,000              
          net earnings per share – basic
        0.67     0.17                                                              
          net earnings per share – diluted
        0.67     0.16                                                              
          net earnings for the period continuing operations
        139     35.2                                                              
          net earnings per share continuing operations – basic
        0.68     0.17                                                              
          net earnings per share continuing operations – diluted
        0.67     0.17                                                              
          adjusted net earnings continuing operations
        90.1                                                                   
          adjusted net earnings per share continuing operations - basic
        0.44                                                                   
          net cash generated from operating activities
        158.2     95.3    41 52.5  35.2        53,267,000   47,803,000 3,220,000                                           
          cash flow from operating activities before changes in working capital
        202     108.3    94.5 55  49.7    78.7 125.1  99   62.9                                             
          free cash flow
        -61.6     -30.9    -34.4 -25.9  -26.8    24.6 117.2  63.4                                                
          free cash flow excluding skouries
        61.5     33.7                                                              
          cash and cash equivalents
        1,078.6                                                                   
          total assets
        6,303.8     5,065.5    4,503                                                          
          debt
        1,157.1     643.8    493.4                                                          
          foreign exchange loss
         6,563,000                                                     -2,050,000   656,000 656,000   795,000 795,000     
          income tax (recovery) expense
         -32,608,000                                                                  
          (gain) loss on disposal of assets
         -7,288,000                                                                  
          net cash generated from operating activities of discontinued operations
         191,000                                                                  
          purchase of marketable securities
                                        1,142,000 -1,834,000 -2,495,000 34,000     -214,000                           
          proceeds from the sale of investments in marketable securities
         155,078,000                                                                  
          deposit on property, plant and equipment
         -5,616,000                                                                  
          contributions from non-controlling interests
                                                                           
          proceeds from term facility - vat facility
         15,756,000  4,245,000   6,071,000 7,982,000                                                            
          repayments of term facility - vat facility
         -18,390,000  16,000                                                                
          net cash (used in) generated from financing activities of continuing operations
         -11,939,000                                                                  
          net earnings
                 0.12       0.05 0.24  0.27   0.03    -128                                         
          adjusted net earnings continuing operations – basic
                                                                           
          unrealized foreign exchange gain
                     -5,286,000       -2,538,000        19,000   -3,138,000                    -68,000                
          unrealized gain on derivative contracts
           21,089,000    2,440,000                                          -2,083,000                  
          realized gain on derivative contracts
                                                                           
          settlement of derivative contracts
           -501,000   424,000                                                             
          changes in non-cash working capital
           34,321,000    17,706,000       29,855,000      -16,170,000   1,332,000 12,191,000 -23,572,000   -12,518,000 21,395,000 -7,496,000 79,042,000 -16,629,000 -22,622,000 -69,949,000 42,830,000 -4,166,000 -25,217,000 27,168,000 -173,215,000 -3,985,000 -552,000 45,059,000 -7,765,000 -18,187,000 8,222,000   11,898,000 1,265,000 -3,322,000 -10,737,000 10,217,000 -6,337,000 -31,668,000             
          net cash from operating activities of discontinued operations
                                                                           
          purchase of marketable securities and investment in debt securities
                     -990,000                                                      
          decrease in term deposits
                                                                           
          term facility loan financing costs
              -21,982,000 17,070,000                                                            
          senior secured credit facility refinancing costs
           -1,922,000                                                                
          purchase of treasury stock
              -3,311,000                              6,395,000 -6,404,000 -6,294,000 -6,139,000 -6,158,000                           
          unrealized foreign exchange (gain) loss
                                                                           
          loss on disposal of assets
                            2,454,000 2,454,000       396,000 106,000 1,900,000   291,000 1,648,000 -1,541,000 1,813,000 6,000 36,000           -3,601,000     515,000             
          realized (gain) loss on derivative contracts
                                                                           
          adjusted net earnings continuing operations - basic
             55.2                                                              
          adjusted net earnings per share continuing operations
             0.27                                                              
          cash, cash equivalents and term deposits
             514.7    262.3 306.4  434.7    533.8 504.4  440.3   134.9                                             
          net earnings for the year from continuing operations
                                                                           
          net cash generated from (used in) operating activities of discontinued operations
                                                                           
          decrease (increase) in term deposits
                     58,034,000                                                      
          net cash from investing activities of discontinued operations
                                                                           
          issuance of common shares, net of issuance costs
              168,726,000 -166,437,000      14,312,000 -2,060,000                                                     
          net cash generated from (used in) financing activities of continuing operations
              234,137,000 -176,948,000                                                            
          cash and cash equivalents - beginning of year
                                                  61,851,000  46,014,000     59,967,000     33,826,000             
          cash in disposal group held for sale
              -429,000 83,000                                                            
          cash and cash equivalents - end of year
                                                  265,369,000  61,851,000     46,014,000     59,967,000             
          net earnings for the period from continuing operations
               -8,104,000                                                            
          increase in term deposits
                            -51,525,000                                               
          write-down (recovery) of assets
                      -282,000                                                     
          cash operating costs
                 766 803  835    641 537  550   560                                             
          adjusted net earnings
                 20.5       21 56.7  43.8   7.5     -1.8                                        
          gain on disposal of mining licenses
                                                                           
          impairment of property, plant and equipment
                                                                           
          employee benefit plan (payments) receipt
                                                                           
          purchase of property, plant and equipment
                     -217,647,000 8,092,000      -40,482,000        -254,080,000 -16,756,000 -212,086,000 -24,013,000 2,888,000 -64,456,000 -307,932,000 5,159,000 -27,487,000 -80,430,000 -101,214,000 -289,395,000 -196,790,000                           
          acquisition of subsidiary, net of 4,311 cash received
                                                                           
          proceeds from sale of subsidiary, net of 340 cash disposed
                                                                           
          proceeds from the sale of mining licenses
                                                                           
          proceeds from the sale of investments in marketable and debt securities
                                                                           
          increase in restricted cash
                     -145,000                           -2,992,000                           
          proceeds from borrowings
                           150,000,000 150,000,000                                              
          repayments of borrowings
                                                                           
          debt redemption premium paid
                                                                          
          loan financing costs
                     -1,605,000                         -473,000                             
          net cash from financing activities of continuing operations
                                                                           
          net cash from financing activities of discontinued operations
                     -28,000                                                      
          net
                  -0.27  -316.8                                                       
          adjusted net
                  -8  -19                                                       
          unrealized foreign exchange loss
                                      1,261,000   -643,000 446,000 1,216,000 -892,000 384,000 121,000  5,000,000  281,000  -3,950,000    418,000 796,000                  
          (recovery) write-down of assets
                                                                           
          operating activities - sum
                                                                           
          net decrease in cash and cash equivalents
                                         -57,231,000     -148,228,000                       -14,687,000 -14,687,000     
          items not affecting cash:
                                                                           
          impairment
                                                                           
          employee benefit plan receipt
                     -895,000                                                      
          acquisition of qmx gold corporation, net of 4,311 cash received
                                                                           
          proceeds from sale of tocantinzinho, net of 340 cash disposed
                                                                           
          net cash (used in) generated from investing activities of discontinued operations
                                                                           
          acquisition of non-controlling interest
                                                                           
          proceeds from the sale of marketable securities
                                        -2,909,000 3,287,000 1,252,000 26,000 -379,000 622,000 332,000                             
          net cash generated from (used in) investing activities of discontinued operations
                                                                           
          repayment of borrowings
                                                                           
          gain on disposal of mining licences
                                                                           
          proceeds from sale of mining licences
                                                                           
          decrease in restricted cash
                            1,174,000             -19,000   -50,000 26,000 -10,000                             
          net cash (used in) generated from investing activities
                                                                           
          proceeds from (repayment of) revolving credit facility
                                                                           
          repayment of term loan
                                                                           
          net cash (used in) generated from financing activities
                                                                           
          gold revenue
                        195.7 264.3  232.9   150.2                                             
          total
                                                                           
          ounces produced
                        111,742                                                   
          ounces sold
                        113,594                                                   
          sustaining capital expenditures
                        20.5                                                   
          kisladag
                                                                           
          lamaque
                                                                           
          efemcukuru
                                                                           
          olympias
                                                                           
          write-down (reversal) of assets
                                                                           
          income from royalty sale
                                                                           
          reversal of impairment
                                                                           
          capitalized interest
                                                                           
          proceeds on pre-commercial production sales
                               -13,250,000 20,856,000 36,427,000                                          
          net cash generated from investing activities
                                                                           
          cash received for issuance of shares
                                                                           
          net cash generated from financing activities
                            174,302,000                                               
          net loss for the period
                            -5,473,000                                     -7,456,000 -7,456,000   -8,957,000      
          net cash from investing activities
                            -96,462,000                                               
          cash received for issuance of common shares
                            26,836,000 26,836,000                                              
          cash decrease in disposal group held for sale
                            -69,000                                               
          net income for the period
                             -5,473,000                    -11,735,000  4,254,000                -7,456,000   -8,957,000 -1,010,000 -663,000  -3,607,000 
          net cash generated from (used in) operating activities
                             53,267,000                                              
          decrease (increase) in restricted cash
                             1,174,000                                              
          net cash generated from (used in) financing activities
                             174,302,000                                              
          gain on derivatives and other investments
                                                                           
          share based payments
                               -404,000 2,902,000 5,409,000   9,081,000 147,000 8,443,000 -583,000 -1,002,000 3,701,000 15,522,000 -2,028,000 -1,713,000 6,994,000 8,877,000 17,398,000 16,123,000                           
          defined benefit pension plan expense
                               -89,000 599,000 3,354,000   2,638,000 31,000 5,310,000 -5,000 14,000 283,000 1,213,000 -6,000 10,000 403,000 629,000 1,262,000                            
          severance and pension payments
                                                                           
          redemption of (investment in) term deposits
                                       34,000   29,676,000 22,226,000 -49,676,000 29,676,000                              
          issuance of common shares for cash
                                          1,558,000    1,422,000 18,715,000 8,969,000 -16,602,000 25,201,000 2,873,000 14,730,000 6,542,000   1,213,000 9,500,000 6,195,000 -4,865,000 5,853,000 822,000 171,225,000 -1,328,000            
          principal elements of lease payments
                                                                           
          net cash from financing activities
                                                                           
          earnings for the period
                                -27,372,000                                           
          asset retirement obligation accretion
                                633,000 1,528,000   1,548,000 -65,000 1,346,000 -115,000 564,000 1,744,000 1,000 -1,000 582,000 339,000 1,385,000                            
          depreciation and amortization related to inventory write-down
                                3,032,000                                           
          deferred income tax recovery
                                                                           
          investment in term deposits
                                         -913,000     -158,927,000                             
          lease payments
                                                                           
          loss for the year from continuing operations
                                                                           
          other write-down of assets
                                 992,000     4,365,000 -314,000                                    
          severance payments
                                                                           
          net cash from operating activities of continuing operations
                                                                           
          net cash used by operating activities of discontinued operations
                                                                           
          net cash paid on acquisition of subsidiary
                                                                         
          capitalised interest
                                                                           
          net cash used by investing activities of continuing operations
                                                                           
          dividend paid to shareholders
                                          -6,464,000   -6,464,000 -50,241,000 -49,880,000 -27,741,000                           
          net cash used by financing activities of continuing operations
                                                                           
          earnings for the period from continuing operations
                                                                           
          impairment loss on property, plant and equipment
                                                                           
          net cash provided (used) by operating activities of continuing operations
                                     20,730,000  89,425,000                                    
          net cash provided (used) by investing activities of continuing operations
                                    -479,750,000  324,172,000                                     
          increase in cash and cash equivalents
                                                                           
          revenues
                                  81.1 153.2                                        
          gold revenues
                                  76                                         
          cash operating costs – gold mines
                                  754 587                                        
          all-in sustaining cash cost – gold mines
                                  1,112 934                                        
          net earnings from mining operations
                                  4.7                                         
          impairment loss on property, plant and equipment, net of tax
                                  -94.1                                         
          adjusted net earnings attributable to shareholders of the company
                                  -21.9                                         
          cash flow provided (used) by operating activities of continuing operations
                                  23.2                                         
          earnings
                                  -0.16                                         
          earnings per share attributable to shareholders of the company – diluted
                                  -0.16                                         
          kisladag mill feasibility study summary
                                                                           
          mill capacity
                                  13                                         
          grade
                                  0.81                                         
          recovery rate
                                  80.1                                         
          annual gold production
                                  270,000                                         
          mill operating life
                                                                          
          strip ratio
                                  1.3                                         
          aisc
                                  793                                         
          development capital
                                  520                                         
          mill cost
                                  384                                         
          waste and ore mining
                                  75                                         
          contingency
                                  61                                         
          sustaining capital
                                  188                                         
          npv-5%1
                                  392                                         
          irr1
                                  20.4                                         
          payback1
                                  3.9                                         
          gold revenues1
                                   121.3                                        
          total cash costs – gold mines
                                   610                                        
          gross profit from gold mining operations
                                   30.1                                        
          cash flow from operating activities 2
                                   23.5                                        
          net profit/(loss) 3, 4, 5
                                   -24.4                                        
          earnings per share – basic (/share) 3
                                   -0.03                                        
          earnings per share – diluted (/share) 3
                                   -0.03                                        
          eldorado gold
                                                                           
          2018
                                   330,000                                        
          deferred income tax expense
                                    -18,714,000  6,848,000   -11,136,000 15,279,000 12,045,000 -8,725,000 9,196,000 135,888,000  -8,275,000                           
          loss on marketable securities and other investments
                                        -3,752,000 4,317,000 2,293,000 -428,000 -222,000 772,000                              
          proceeds from sale of mining interest, net of transaction costs
                                                                           
          proceeds on pre-commercial production sales and tailings retreatment
                                                                           
          net cash used by investing activities of discontinued operations
                                      -12,540,000 -4,813,000                                    
          long-term and bank debt proceeds
                                      30,000,000 10,000,000   24,498,000   16,363,000 12,412,000  3,203,000                           
          long-term and bank debt repayments
                                      -10,000,000    -16,382,000   -16,382,000 -10,354,000 -96,001,000 -68,420,000                           
          (gain) loss on marketable securities and other investments
                                                                           
          profit for the period from continuing operations
                                     -14,324,000  9,502,000                                    
          gain on marketable securities and other investments
                                              -21,000                             
          net cash provided (used) by operating activities of discontinued operations
                                       -32,027,000                                    
          proceeds (loss) on pre-production sales and tailings retreatment
                                                                           
          net cash provided (used) by financing activities of continuing operations
                                       -50,000,000                                    
          less cash and cash equivalents held for sale - end of period
                                       29,075,000                                    
          cash and cash equivalents excluding held for sale - end of period
                                     56,446,000                                      
          proceeds on pre-production sales and tailings retreatment
                                                                           
          decrease in cash and cash equivalents
                                                                           
          proceeds on production of tailings retreatment
                                         3,878,000                                  
          *see note 4
                                                                           
          all-in sustaining cash cost
                                                                           
          net profit 1
                                                                           
          earnings per share – basic (/share) 1
                                                                           
          earnings per share – diluted (/share) 1
                                                                           
          proceeds from sale of mining interest net of transaction costs
                                                                           
          net cash used by financing activities of discontinued operations
                                                                           
          net proceeds from sale of assets held for sale
                                                                           
          proceeds (loss) on production from tailings retreatment
                                                                           
          cash and cash equivalents excluding held for sale- end of period
                                       238,646,000                                    
          * see note 5
                                                                           
          deferred income tax expense recovery
                                                                           
          proceeds on production from tailings retreatment
                                           -5,226,000 2,973,000 8,792,000                              
          loss for the period
                                         -3,893,000                                  
          total cash cost
                                                                           
          net profit attributable to shareholders of the company
                                                                           
          dividends paid
                                                                           
          cash flow from operating activities before changes in non-cash working capital
                                                                           
          net profit
                                                                           
          cash flow from operating activities
                                                                           
          profit for the year
                                              -43,968,000                             
          loss on investment in associates
                                                                           
          other writedown of assets
                                                                           
          impairment loss on property, plant and equipment and goodwill
                                                                           
          proceeds from contributions from non-controlling interest
                                                                           
          dividend paid to non-controlling interests
                                               -8,432,000 -3,622,000                           
          adjusted net earnings/
                                                                           
          profit for the period
                                           -17,979,000 8,871,000 30,643,000                              
          loss on investments in associates
                                             102,000                              
          dividends paid to non-controlling interest
                                           -2,595,000                                
          items not affecting cash
                                                                           
          impairment loss on investment in associates
                                                                           
          writedown of assets
                                                                           
          investments in associates
                                                                           
          proceeds from contributions net of dispositions from
                                                                           
          non-controlling interest
                                                 1,107,000 2,627,000 -424,000 5,099,000 -1,288,000                      
          net cash used on acquisition of subsidiary
                                             -30,318,000                              
          investment by non-controlling interest
                                             40,000,000                              
          investing activities - sum
                                              -261,792,000                             
          financing activities - sum
                                              -53,528,000                             
          funding of non-registered supplemental retirement plan investments
                                                                           
          other comprehensive loss:
                                                                           
          change in fair value of available-for-sale financial assets
                                                                           
          realized gains on disposal of available-for-sale
                                                                           
          financial assets transferred to net income
                                                                           
          actuarial losses on defined benefit pension plans
                                                                           
          total other comprehensive loss for the period
                                                                           
          total comprehensive income for the period
                                                                           
          attributable to:
                                                                           
          shareholders of the company
                                                                           
          non-controlling interests
                                                                           
          net cash received on acquisition of subsidiary
                                                                           
          proceeds on pre-production sales
                                              4,328,000                             
          funding of non-registered supplemental retirement plan
                                                                           
          investments
                                                                           
          decrease (increase) on investment in term deposits
                                                                           
          loss on investments in significantly influenced companies
                                              909,000                             
          investments in significantly influenced companies
                                              -6,357,000 -2,821,000                            
          deferred income tax (recovery) expense
                                               -14,269,000                            
          loss on investment in significantly influenced companies
                                                                           
          net proceeds on pre-production sales
                                                                           
          ·
                                                                           
          cash flows from operating activities
                                                                           
          adjustments for the year:
                                                                           
          loss for the year before tax
                                                                           
          share of profit of associate
                                                                           
          depreciation and depletion
                                                                           
          impairment of exploration and evaluation assets
                                                                           
          share-based compensation expense
                                                                           
          accretion of decommissioning provision
                                                                           
          discounting of vat and tax recoverable
                                                                           
          deferred revenue recognised
                                                                           
          net changes in working capital
                                                                           
          cash flows from investing activities
                                                                           
          exploration and evaluation and mine development costs
                                                                           
          - romania
                                                                           
          - greece
                                                                           
          - turkey
                                                                           
          purchase of land and buildings
                                                                           
          purchase of equipment
                                                                           
          cash flows from financing activities
                                                                           
          proceeds from exercise of share options
                                                                           
          effect of foreign currency translation on cash
                                                                           
          cash and cash equivalents – beginning of year
                                                                           
          cash and cash equivalents end of year
                                                                           
          gain on marketable securities
                                                -2,192,000  -1,689,000  -2,475,000                       
          defined benefit plan expense
                                                1,670,000                           
          acquisition of subsidiaries net of cash received
                                                                           
          non-registered supplemental retirement plan investments
                                                -7,088,000                           
          increase in restricted assets and other
                                                                           
          asset retirement obligation costs
                                                                           
          loss on investment in significantly influenced company
                                                                           
          acquisition of brazauro
                                                                           
          investment purchases
                                                                           
          increase in restricted asset and other
                                                                           
          summarized financial results
                                                                           
          average realized price
                                                                           
          average london spot price
                                                                           
          earnings from gold mining operations (millions)1
                                                                           
          net income
                                                                           
          earnings per share - basic
                                                                           
          dividends per share – cdn
                                                                           
          sales volumes by mine
                                                                           
          gold ounces sold
                                                                           
          - kişladağ
                                                                           
          - tanjianshan
                                                                           
          - jinfeng
                                                                           
          - white mountain
                                                                           
          average price per oz.
                                                                           
          provisions for asset retirement obligations
                                                                           
          deferred tax recovery
                                                                           
          employee benefit expense
                                                                           
          foreign exchange (gain)/loss
                                                                           
          purchase of mining interests and property, plant and equipment
                                                                           
          proceeds from the sale of mining interests and property, plant and equipment
                                                                           
          •
                                                                           
          net earnings for the year
                                                  102,404,000  163,656,000     35,421,000     3,300,000             
          accretion on asset retirement obligations
                                                                           
          contractual severance expense
                                                         721,000    598,000 1,377,000 344,000 344,000 344,000  106,000 106,000     
          depletion, depreciation and amortization
                                                 -2,272,000 38,658,000 2,479,000 25,995,000 115,000   8,824,000 20,041,000 2,814,000 -573,000 1,538,000 3,108,000 1,763,000 1,744,000 3,000 84,000 84,000 84,000  2,515,000 2,515,000 5,000 1,059,000 7,783,000 98,000 
          future income taxes (recovery) expense
                                                    -12,904,000                       
          stock-based compensation
                                                 -363,000 9,091,000 -854,000 11,866,000 4,540,000   4,882,000 7,267,000     3,542,000             
          fair value of bonus cash award units
                                                  -2,543,000  1,815,000                       
          pension expense
                                                 1,689,000 -163,000 1,478,000                       
          mining interests
                                                                           
          capital expenditures
                                                 -4,512,000 -106,614,000 -4,328,000 -123,950,000 -20,247,000   -10,296,000 -94,461,000                  
          sales and disposals
                                                  35,000  5,214,000                       
          marketable securities
                                                                           
          purchases
                                                  -3,967,000  -20,462,000 24,421,000   -1,792,000 -1,556,000                  
          proceeds on disposals
                                                  42,770,000                         
          equity investment puchase
                                                                           
          pension plan contributions
                                                  -1,856,000  -3,791,000                       
          value added taxes recoverable on mining interests
                                                                           
          restricted cash
                                                  1,877,000  71,515,000 15,805,000   -5,300,000 5,540,000 37,355,000 272,000 10,409,000 -7,231,000 -29,550,000             
          restricted asset and other
                                                                           
          capital stock
                                                                           
          share issuance costs
                                                              -7,089,000             
          dividend paid to non-controlling interest
                                                  -149,000  -300,000                       
          long-term and bank debt
                                                                           
          proceeds
                                                 7,017,000 4,983,000  5,000,000    5,000,000 24,859,000                  
          repayments
                                                 11,023,000 -4,983,000  -70,879,000     -26,360,000                  
          supplementary cash flow information
                                                                           
          asset retirement obligations costs
                                                 291,000 -13,000 3,108,000                       
          future income taxes expense
                                                  -2,972,000 -8,404,000                        
          (gain) loss on marketable securities
                                                                           
          bonus cash award units payments
                                                                           
          proceeds on sales and disposals
                                                                           
          marketable securities disposals
                                                                           
          equity investment purchase
                                                                           
          restricted assets and other
                                                 -9,909,000                          
          long-term and current debt
                                                                           
          loss on marketable securities
                                                                           
          disposals
                                                    25,737,000    263,000 663,000                  
          imputed interest and financing costs
                                                    39,000 -2,000   10,000 67,000 -7,000 -1,000 1,000 16,000 91,000             
          loss on derivative contract
                                                    2,956,000                       
          contractual severance payments
                                                    -953,000 394,000   -231,000 -2,458,000                  
          acquisition of subsidiary net of cash received
                                                  54,179,000                         
          loss on marketable securities and restricted asset
                                                                           
          acquisition of frontier net of cash received
                                                    7,479,000                       
          restricted cash and other restricted assets
                                                   2,373,000                        
          gain on derivative contract
                                                                           
          gain on marketable securities held for trading
                                                                           
          pre-production gold sales capitalized in mining interests
                                                         10,052,000                  
          repayment
                                                     -10,400,000                      
          cash and cash equivalents — beginning of period
                                                                           
          cash and cash equivalents — end of period
                                                                           
          future income taxes
                                                        309,000 17,261,000  -4,242,000 519,000 5,676,000 -1,491,000  -1,677,000 1,420,000 1,420,000 1,420,000  -96,000 -96,000 -533,000 -670,000   
          unrealized loss on derivative contract
                                                        739,000                   
          sales proceeds
                                                        221,000 1,482,000                  
          non-producing properties under development
                                                        -2,418,000 -13,477,000                  
          cash flows (used in) generated from:
                                                                           
          operating activities under canadian gaap
                                                                           
          exploration costs
                                                                           
          deferred start-up costs and revenues
                                                                           
          capitalized interest expense
                                                                           
          operating activities under us gaap
                                                                           
          investing activities under canadian gaap
                                                                           
          investing activities under us gaap
                                                                           
          financing activities under canadian and us gaap
                                                                           
          cash and cash equivalents – beginning of period
                                                                           
          cash and cash equivalents – end of period
                                                                           
          accretion of asset retirement obligation
                                                        133,000 604,000  80,000 661,000 1,000 -1,000 162,000 162,000 162,000  121,000 121,000     
          available-for-sale securities
                                                                           
          amortization
                                                                           
          stock based compensation
                                                               603,000            
          future income tax
                                                                           
          changes in non cash working capital:
                                                                           
          accounts receivable
                                                                           
          prepaid expenses
                                                                           
          accounts payable and accrued liabilities
                                                               -317,000            
          due from related parties
                                                                           
          mineral interests expenditures
                                                                           
          short term investments
                                                                           
          issuance of share capital
                                                                           
          supplemental schedule of non cash investing and financing activities
                                                                           
          decrease in fair value of marketable securities
                                                                           
          stock based compensation in mineral interests
                                                                           
          accounts payable in mineral interest costs
                                                                           
          future income taxes in mineral interest costs
                                                                           
          shares issued for mineral properties
                                                                           
          fair value of options exercised
                                                                           
          acquisition of afcan, net of cash received
                                                                           
          stock-based compensation expense
                                                           718,000 -1,958,000 3,094,000              
          contractual severance obligation
                                                           157,000 1,314,000 -1,612,000 -598,000             
          acquisition of property, plant and equipment
                                                                           
          for cash
                                                                           
          proceeds on disposal of assets
                                                           -167,000 -333,000 703,000              
          proceeds on disposal of property, plant
                                                                           
          and equipment
                                                                           
          recovery of mining interest costs from sale of
                                                                           
          pre-production gold
                                                                           
          deferred development expenditures on
                                                                           
          non-producing properties
                                                                           
          value added taxes recoverable on mining
                                                                           
          interest investments
                                                                           
          issuance of long term debt
                                                                           
          long-term debt repayment
                                                                           
          bank indebtedness repayment
                                                                           
          net increase in cash and
                                                                           
          cash equivalents
                                                                           
          acquisition of property, plant and equipment for cash
                                                            -6,148,000 -13,940,000 -88,299,000             
          proceeds on disposal of property, plant and equipment
                                                                           
          recovery of mining interest costs from sale of pre-production gold
                                                             10,052,000              
          deferred development expenditures on non-producing properties
                                                            -499,000 -2,959,000 -6,871,000             
          value added taxes recoverable on mining interest investments
                                                              -7,579,000             
          foreign exchange gain
                                                             148,000          153,000 516,000   
          value added taxes recovered on mining interest investments
                                                             1,077,000              
          gold sales
                                                              77,641,000             
          interest and other income
                                                              7,048,000             
          expenses
                                                                           
          operating costs
                                                              45,850,000             
          general and administrative
                                                              19,030,000             
          exploration
                                                              12,719,000             
          (gain) on disposal of assets
                                                              -945,000             
          interest and financing costs
                                                              1,586,000 724,000          86,000 -9,000 
          write down of assets
                                                              2,186,000             
          income before income taxes
                                                              3,889,000             
          income tax (expense) recovery
                                                                           
          current
                                                              -2,080,000             
          future
                                                              1,491,000             
          net income for the year
                                                              3,300,000             
          deficit, beginning of year
                                                              -356,770,000             
          deficit, end of year
                                                              -353,470,000             
          weighted-average number of shares outstanding
                                                                           
          basic weighted-average number of common shares outstanding
                                                              337,376,000             
          diluted weighted-average number of common shares outstanding
                                                              339,177,000             
          earnings per share
                                                                           
          basic income per share - us
                                                              10             
          diluted income per share - us
                                                              10             
          basic income per share - cdn
                                                              10             
          diluted income per share - cdn
                                                              10             
          amortization of hedging gain
                                                                         -1,726,000 308,000 
          proceeds on disposal of mining interest
                                                              1,845,000             
          proceeds from disposal of investments
                                                                           
          long term debt proceeds received
                                                                           
          repayment of long term debt
                                                              -400,000             
          proceeds from bank indebtedness
                                                              15,367,000             
          accounts receivable and prepaids
                                                                           
          inventories
                                                                           
          cash flows used for operating activities
                                                                           
          mineral properties and deferred development
                                                                -358,000 -674,000 -674,000 -674,000  -142,000 -142,000 8,964,000 -10,394,000 -2,377,000 -729,000 
          proceeds from disposal of investments and advances
                                                                 1,481,000 1,481,000 1,481,000        
          restricted cash, related to environmental deposit
                                                                           
          other assets
                                                               815,000 1,286,000 -1,734,000 -1,734,000 -1,734,000        
          cash flows used for investing activities
                                                                           
          issuances of long term debt
                                                                           
          restricted cash, related to long term debt
                                                                           
          repayment of capital lease obligation
                                                                           
          foreign exchange gain on cash held in foreign currency
                                                               -2,115,000 3,357,000 -722,000 -722,000 -722,000    -181,000 -511,000 7,238,000 145,000 
          cash and cash equivalents at beginning of the period
                                                               -37,505,000 128,271,000 33,826,000 33,826,000 33,826,000  135,390,000 135,390,000 -11,835,000 105,465,000  32,069,000 
          cash and cash equivalents at end of the period
                                                               -43,541,000 -37,505,000 162,097,000 162,097,000 162,097,000  120,703,000 120,703,000 -6,876,000 93,630,000  76,929,000 
          non-cash transactions
                                                                           
          interest capitalized to property, plant and equipment
                                                                           
          net income (loss) for the period
                                                                           
          property, plant and equipment
                                                                -6,296,000 -21,319,000 -21,319,000 -21,319,000  -12,896,000 -12,896,000 -612,000 -2,979,000 -6,587,000 -1,364,000 
          long term debt
                                                                           
          deposits
                                                                           
          cash flows provided by financing activities
                                                                           
          net increase (decrease) in cash and cash equivalents
                                                                           
          stock based compensation expense
                                                                 1,985,000 1,985,000 1,985,000  1,364,000 1,364,000 -3,182,000 3,316,000   
          change in non-cash working capital
                                                                 -7,214,000 -7,214,000 -7,214,000        
          cash flow from investing activities
                                                                           
          cash flow from financing activities
                                                                           
          issue of common shares:
                                                                           
          voting - for cash
                                                                 162,162,000 162,162,000 162,162,000  345,000 345,000 -330,000 450,000 25,263,000 50,236,000 
          cash flows from (used in) operating activities
                                                                           
          net loss for the year
                                                                           
          loss on disposals of property, plant and equipment
                                                                           
          loss on settlement of convertible debenture
                                                                           
          acquisition of afcan mining corporation - net cash acquired
                                                                           
          proceeds from disposals of property, plant and equipment
                                                                           
          investments and advances
                                                                        -35,000   
          proceeds from disposals of investments and advances
                                                                        69,000   
          long-term debt
                                                                           
          repayment of long-term debt
                                                                           
          repayment of convertible debentures
                                                                          
          cash and cash equivalents at beginning of the year
                                                                           
          cash and cash equivalents at end of the year
                                                                           
          exploration expense
                                                                           
          loss on disposals of property, plant & equipment
                                                                           
          loss before income taxes
                                                                           
          tax recovery
                                                                           
          deficit at the beginning of the year:
                                                                           
          as previously reported
                                                                           
          change in accounting policy
                                                                           
          as restated
                                                                           
          deficit at the end of the year
                                                                           
          basic loss per share - u.s.
                                                                           
          basic loss per share - cdn. -
                                                                           
          diluted loss per share - u.s.
                                                                           
          eldorado gold corporation
                                                                           
          consolidated statements of cash flows
                                                                           
          for the years ended december 31
                                                                           
          2005
                                                                           
          accounts and other receivables
                                                                           
          non-cash financing and investing activities
                                                                           
          shares issued on acquisition of afcan
                                                                           
          warrants issued in exchange for those of eldorado
                                                                           
          options issued in exchange for those of eldorado
                                                                           
          operating activities included the following cash payments
                                                                           
          sao bento mine
                                                                           
          operating data1
                                                                           
          gold production
                                                                           
          ounces
                                                                           
          cash operating costs (/oz)5
                                                                           
          total cash costs (/oz)2,5
                                                                           
          total production costs (/oz)3,5
                                                                           
          realized price (/oz sold)4
                                                                           
          tonnes to mill
                                                                           
          average recovery rate
                                                                           
          writedown of investments and advances
                                                                     662,000 662,000     
          amortization of hedging loss
                                                                        329,000   
          decrease in accounts receivable
                                                                     780,000      
          decrease in inventories
                                                                     52,000      
          increase in accounts payable and accrued liabilities
                                                                     1,462,000 1,462,000 2,015,000 -2,167,000  2,977,000 
          cash flow from investing activities - sum
                                                                     -13,038,000      
          issue of common shares: - sum
                                                                     345,000      
          foreign exchange loss on cash held in foreign currency
                                                                     -798,000 -798,000     
          increase in accounts receivable
                                                                      780,000     
          increase in inventories
                                                                      52,000 -573,000 427,000   
          long term debt fee accrual
                                                                           
          settlement of convertible debentures and accrued
                                                                           
          interest in exchange for shares
                                                                           
          -
                                                                           
          reported under canadian gaap
                                                                           
          add
                                                                           
          property, plant and equipment costs
                                                                           
          deferred gain amortization - canadian gaap
                                                                           
          forward gold sales contracts - u.s. gaap
                                                                           
          accretion on convertible
                                                                           
          debentures
                                                                           
          accretion on asset retirement obligation - u.s. gaap
                                                                           
          gain on settlement of convertible
                                                                           
          debentures - canadian gaap
                                                                           
          net earnings before change in accounting policy
                                                                           
          cumulative effect adjustment - asset retirement obligation
                                                                           
          under u.s. gaap before extraordinary items
                                                                           
          debentures - u.s. gaap
                                                                           
          net earnings for the period after
                                                                           
          extraordinary items but before comprehensive
                                                                           
          income adjustments
                                                                           
          net earnings per common
                                                                           
          share - u.s. gaap before and after
                                                                           
          extraordinary items
                                                                           
          basic and diluted
                                                                           
          other comprehensive income
                                                                           
          opening balance
                                                                           
          gold sales contracts
                                                                           
          unrealized gain on investments
                                                                           
          closing balance
                                                                           
          amortization of hedging (gain ) loss
                                                                           
          accretion expense
                                                                       1,000 107,000   
          (increase) in accounts receivable
                                                                       606,000 -769,000  1,826,000 
          supplemental cash flow information
                                                                           
          income tax paid
                                                                           
          gain on sale of investments
                                                                           
          contractual servrance expense
                                                                        80,000   
          liquidation of hedges
                                                                           
          other assets and deferred charges
                                                                           
          gain on disposals of property, plant and equipment
                                                                           
          gain on settlement of convertible debenture
                                                                           
          writedown of property, plant and equipment
                                                                           
          loss on repayment of convertible debenture
                                                                           
          gain on conversion of convertible debenture
                                                                           
          write down of investments and advances
                                                                           
          amortization of financing fees
                                                                           
          (increase) decrease in inventories
                                                                           
          (decrease) increase in accounts payable and accrued liabilities